专业简介
This programme focuses on the risk management and the quantification of several types of risk such as financial, including market risk and some elements of liquidity and counterpart risk. Financial Risk Management will provide you with a thorough understanding of advanced econometric analysis; theories of risk, including bond market interest rate determination, market risk, liquidity risk and counterpart risk; and the role and impact of financial regulations.
On completion of this course 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. This course is also accredited by AACSB and EQUIS.
- 课程时长: 1-2年或以学校或offer为准
- 学费: £24,000.00 (¥ 214,860) /年 Fees are subject to change and for guidance only and additional fees available. 此费用为固定收费 以学校或offer为准
- 开学时间: 每年2或7月
- 总学分: 0
- 是否移民专业: 否 访问官网链接
入学要求
为来自中国的学生设计
Graduates of national quality Chinese universities with a GPA of 3.2 or above or an average score of 80% and above will be considered. Grades in relevant subjects will be accorded greater significance and entry will be entirely at the discretion of the University of Glasgow. We can accept top-up honours degrees with the final year at a UK or other university but we normally require 60% or equivalent (2.1) standard in all courses in the final year of the degree.
国际学生入学条件
Students whose first language is not English need to have IELTS Academic: overall score 6.5; no sub-test less than 6.0 or equivalent scores in another recognised qualification; TOEFL- iBT: 90 (Reading: 20, Listening: 19, Speaking: 19, Writing: 23).
如何申请
- 申请材料要求
- 是否需要文书 是
- 申请费 100澳币
- 申请周期 1-2月
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