专业介绍:
This full-time programme is delivered by UCL School of Management and UCL’s Department of Economics, providing a study of finance underpinned by a blend of quantitative and qualitative components. It is based in UCL School of Management’s new home in Canary Wharf, the heart of London’s dynamic financial centre. It aims to provide individuals with the knowledge, understanding and skills to enable them to engage with specialist roles in the modern global financial industry. Such roles are likely to be located in a range of organisations, including banks, asset management companies, investment and hedge funds, insurance companies, rating agencies, broker/dealers, and large, medium, and boutique financial companies.
UCL Finance MSc是专门为那些将金融作为专业职业而设计的硕士学位。
该全日制课程由UCL管理学院和UCL经济系提供,旨在对金融进行定量和定性结合的基础研究。 它位于伦敦金融中心(UCL School of Management)在伦敦充满活力的金融中心心脏金丝雀码头(Canary Wharf)的新家中。 它旨在为个人提供知识,理解和技能,使他们能够在现代全球金融行业中扮演专家角色。 此类角色可能位于许多组织中,包括银行,资产管理公司,投资和对冲基金,保险公司,评估机构,经纪人/交易商以及大中型和精品金融公司。
All participants study four core modules in term one, providing a robust quantitative underpinning in key areas of finance. In term two, a further two core modules are studied, again reflecting a quantitative thrust. An elective portfolio is offered, with four elective modules which can be undertaken in term two and/or three. The elective modules enable participants to develop their interests in a number of specialist areas. Additionally, in term three and across the summer, participants engage in the design, execution and delivery of a finance research project which will be supported by a compulsory 10-hour research methods module.所有参与者在第一学期学习四个核心模块,为关键金融领域提供了强有力的定量基础。 在第二学期中,对另外两个核心模块进行了研究,再次反映了定量推力。 提供一个选修课程,其中四个选修模块可以在第二和/或第三学期中进行。 选修模块使参与者能够在多个专业领域发展自己的兴趣。 此外,在第三学期和整个夏季,参与者将参与金融研究项目的设计,执行和交付,这将由必修的10小时研究方法模块提供支持。
课程内容:
Term One Term Two Term Three and Summer 2022
MSIN0103 Asset Pricing定量金融导论
MSIN0104 Introduction to Quantitative Finance金融计量经济学
MSIN0105 Financial Econometrics 金融经济
MSIN0149 Corporate Finance 企业融资
MSIN0106 Time Series Analysis and Forecasting时间序列分析和预测
MSIN0107 Advanced Quantitative Finance先进的定量金融
MSIN0210 Hedge Fund Strategies (optional)对冲基金策略(可选)
MSIN0224 Corporate Finance Practices (optional)公司财务惯例(可选)
MSIN0226 Fintech (optional)金融科技(可选)
MSIN0229 Further Topics in Mathematical and C数学和计算金融的其他主题(可选)
MSIN0209 Finance research project 金融研究项目
MSIN0208 Big Data Analytics (optional)大数据分析(可选)
MSIN0225 Behavioural Finance (optional)行为金融(可选)
MSIN0227 Private Equity and Venture Capital (optional)私募股权和风险投资(可选)
MSIN0228 Wealth Management and Private Banking (optional)财富管理和私人银行(可选)
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