格拉斯哥大学金融风险管理
PROGRAMME STRUCTURE
You will take four core and two optional courses and complete a substantial independent piece of work, normally in the form of a dissertation.
Core courses
- BASIC ECONOMETRICS*
- ECONOMIC FUNDAMENTALS AND FINANCIAL MARKETS
- FINANCIAL MARKETS, SECURITIES AND DERIVATIVES
- HEDGE FUND RISK MANAGEMENT
Sample optional may include
- APPLIED COMPUTATIONAL FINANCE
- CORPORATE FINANCE AND INVESTMENT
- INTERNATIONAL FINANCE AND MONEY
- INVESTMENT, FINANCE AND ASSET PRICES
- MATHEMATICAL FINANCE
- PORTFOLIO ANALYSIS AND INVESTMENT
*If you have a strong background in econometrics you can swap this course with Modelling and forecasting financial markets.
Programme alteration or discontinuation
The University of Glasgow endeavours to run all programmes as advertised. In exceptional circumstances, however, the University may withdraw or alter a programme. For more information, please see: Student contract.
CAREER PROSPECTS
As a graduate you will be qualified to work in risk management, asset management companies, hedge funds, wealth management banks and central banks. Graduates have found employment with companies such as Morgan Stanley, HSBC, KPMG, and the Royal Bank of Scotland. We have a dedicated careers and employability team who provide 1-2-1 support and advice, group workshops, employer events on campus and networking opportunities throughout the year to help you with your career prospects.