Registry

Programme Academic Structure for 2012 - 2013, MSc in Finance

This information is provisional and subject to change.

Explanation of Terms/Frequently Asked Questions

Year 1 Core Modules:

CodeTitleCreditSemesterExam %CA %
AC580Financial Statement Analysis5Year long1000
EF5104Quantitative Methods for Finance5Year long00
EF5120Portfolio Theory & Fund Management5Semester 17525
EF5121Financial Economics5Semester 11000
EF5122Financial Engineering5Semester 27525
EF5200Research Methodology & Projects25Autumn Semester0100
EF585Securities and Investment5Semester 17525
EF591Econometrics5Semester 10100
EF592Corporate Finance5Semester 17525

Year 1 Optional Modules:

CodeTitleCreditSemesterExam %CA %
EF5111Carbon Markets5Semester 25050
EF5114Derivatives and Insurance for Climate Change5Semester 25050
EF5115Advanced Fixed Income Portfolio Management5Semester 27525
EF5123Risk Modelling & Capital Management10Semester 25050
EF5124Corporate Treasury Management5Semester 27525
EF586Financial Econometrics5Semester 20100
EF589Investment Analysis5Semester 27525
EF593Recent Research Topics in Finance5Semester 20100
EF597International Corporate Finance5Semester 20100