As you study, youll acquire a broad knowledge of finance, financial theory, and the practical methods used to analyze financial data. Further specialist knowledge and analytical skills are developed in financial risk management, including how to identify, measure and manage a broad range of financial risk types including operational risk, foreign exchange risk, liquidity risk, and market risk. Youll have access to professional financial databases including Bloomberg, Thomson Reuters Eikon, Datastream, S&P Capital IQ, and Financial Times. Other features of the course include the Amplify Trading Boot Camp, where students get the first-hand experience in real-world trading, and the Student Managed Investment Fund, which provides students with the experience of managing actual funds. Theres also an opportunity to attend our series of guest lectures by professionals from the industry. All these features help to enhance employability, increase participation, improve learning, and play a part in a world-leading student experience.
A minimum of a second class honors degree or equivalent.
IELTS Indicator 6.5 with a minimum of 6.0 in each sub-skill_x000D_ IBT TOEFL 80 overall with 18 in reading, 23 in writing, 19 in listening, and 21 in speaking
Accounting, Finance and Economics
Stirling
Postgraduate
1
February 2021, September 2021
6.0
£20,845,
Brighton, England
6.5
Postgraduate
14300
Edinburgh, Scotland
7.0
Postgraduate
28200
London, Ontario
7.0
Postgraduate
39894