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号称最难申请的香港研究生专业-港科大金融
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香港科技大学 金融专业
MASTER OF SCIENCE IN FINANCE
 
Our Master of Science in Finance (MFin) program grew out from the integration of the MSc in Investment Management (MSc IM) and MSc in Financial Analysis (MSc FA) programs in 2019. Both programs have been widely recognized by finance professionals as premier academic programs.
The new program has been designed to provide rigorous training for students interested in professional careers in the finance industry. The curriculum is structured to meet the growing and specialized demands of the industry. The MFin program offers both full-time and part-time study modes, which students can complete in 12 or 24 months, respectively.
The program begins with a solid foundation of courses in corporate finance, quantitative and computing skills, investment analysis, and financial derivatives, which are the core subjects in the Chartered Financial Analysts (CFA), Chartered Alternative Investment Analyst (CAIA), and Financial Risk Management (FRM) examinations curriculums.
The MFin program continues to equip students with the cutting-edge finance knowledge and skills required for career advancement and continual professional development.
During the program, enrichment activities and luncheon talks are organized to provide students with platforms for networking with industry practitioners in Hong Kong. In addition, study tours can be arranged during the semester break. Study tours help students to understand the industry landscape, develop applied skills in industry and company analysis, and network with industry practitioners outside Hong Kong.
 
 

Core Courses (10 credits)

FINA 5120 Corporate Finance (2 credits)

Valuation of cash-flow streams (PV of cash flow streams, annuities, and perpetuities), valuation of bonds, valuation of stocks using dividend discount models, capital budgeting decisions (NPV, IRR, payback), capital structure, limits to the use of debt (trade-off models), estimation of the cost of debt and equity, WACC, and terminal value.

FINA 5210 Investment Analysis (2 credits)

FINA 5250 Empirical Methods in Finance (2 credits)

FINA 5290 Derivatives Analysis (2 credits)

FINA 5360 Fixed Income Analysis (2 credits)

Sample list of Elective Courses (20 credits)

ACCT 5150 Accounting Foundations (2 credits)*SA/CF

FINA 5130 Corporate Governance (2 credits)*AM/RM/SA/CF

FINA 5140 Advanced Topics in Financial Management (2 credits)*FT/SA/CF

FINA 5150 Corporate Risk Management (2 credits)*RM/SA/CF

FINA 5220 Equity Investment Management (2 credits)*AM/RM

FINA 5230 ESG Investing (2 credits)*AM/RM/SA/CF

FINA 5240 FinTech Analytics (2 credits)*FT

FINA 5260 FinTech: The Future of the Financial Industry (2 credits)*FT

FINA 5300 Advanced Derivatives Analysis (2 credits)*AM/RM

FINA 5370 Equity Valuation (2 credits)*AM/SA

FINA 5390 Venture Capital and Private Equity (2 credits)*AM/FT/SA/CF

FINA 5410 Market Microstructure (2 credits)*AM/FT

FINA 5450 Hedge Funds (2 credits)*AM/RM/FT

FINA 5470 Mergers, Acquisitions & Restructuring*AM/RM/SA/CF

FINA 5490 Advanced Venture Capital (VC) Investing (2 credits)*AM/RM/CF

FINA 5560 Structured Products and Exotic Options (2 credits)*AM/RM

FINA 5590 Trading in Equity Markets (2 credits)*AM/RM/FT/SA

FINA 5600 Real Estate Financing (2 credits)*AM/RM/SA/CF

FINA 5620 Foreign Exchange Market (2 credits)*AM/RM/FT/SA/CF

FINA 5670 Wealth Management (2 credits)AM/RM/FT

FINA 5830 Statistical Methods for Risk Management (2 credits)*AM/RM/FT

FINA 5840 Financial Modeling (2 credits)*AM/RM/FT/SA

FINA 5870 Big Data in Finance (2 credits)*AM/RM/FT/SA

FINA 6910B Smart Applications of Distributed Ledger Technology (DLT) (2 credits)*AM/RM/FT/SA/CF

GRADUATION & DEGREE

Students must complete a minimum of 30 credits (15 courses) of coursework during the program and pass all the course requirements. Student may graduate without concentration or may choose to declare one concentration by taking the specified required courses for a given concentration.

In addition, students must attain a graduation grade average (GGA) of 2.850 or above (out of a scale of 4.3) as required of all postgraduate students at HKUST.

On successful completion of the program, students will receive the "Master of Science in Finance" degree, with an option to declare concentration(s) in "Asset Management", "Corporate Finance", "FinTech", "Risk Management" or "Security Analysis".

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