国际学生入学条件
Our standard postgraduate entry requirement is a second-class honours degree (2:2 or above) from a UK university, or an equivalent international qualification.
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雅思考试总分
6.5
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雅思考试指南
- 雅思总分:6.5
- 托福网考总分:79
- 托福笔试总分:
- 其他语言考试:Pearson Test of English Academic: Standard requirement: 62 with 60 in each sub-test.
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申请截止日期: 请与IDP顾问联系以获取详细信息。
课程简介
Birkbeck的理学硕士金融学结合了严谨的学术知识和扎实的扎实基础,这些实用的解决问题技能是雇主重视的。该课程将为您提供有关金融和金融经济学的优秀专业知识和培训,包括适用于衍生品和政府债券市场的基本证券理论,公司融资和定价理论。您还将学习最新的计量经济学和数值分析技巧。所有这些技能在市场,银行,商业公司和政府中越来越受到重视,因此本课程可以帮助您在竞争激烈的就业市场中脱颖而出。<br> Birkbeck的研究生金融课程是建立在我们长期的研究经验基础之上的,带领晚上的教学。我们的许多学生都在金融业工作,这
Advance your career in finance with our MSc Finance, a course which offers a unique blend of academic rigor and real-world application to help prepare you to excel in a competitive industry. You will learn from leading researchers and practitioners who bring their expertise and real-world insights from consulting for government departments, banks and City of London firms. Why choose this course It offers you a rigorous exploration of financial markets, asset management and corporate finance, with strong foundations in financial economics and accounting. This broad curriculum will provide you with the essential knowledge to succeed in various finance roles. The course places significant emphasis on advanced econometric and numerical analysis techniques, equipping you with analytical skills that provide a competitive edge in the finance industry. These skills are highly valued by banks, financial institutions and government agencies. It benefits from being taught by experienced lecturers who are active researchers and consultants for government departments and regulatory bodies. The course is part of the CFA Institute University Affiliation Program, offering access to a limited number of CFA scholarships, supporting professional development and career advancement and providing you with valuable networking opportunities in the finance industry. What you will learn This course is designed to equip you with both theoretical expertise and practical skills. It provides you with in-depth expertise in financial economics and markets, covering: portfolio theory corporate finance pricing theory applied to derivatives and government bond markets. The course also emphasises developing your skills in advanced econometric and numerical analysis technique, as these give you a competitive edge in your career development and are increasingly sought by banks, financial institutions and government entities. How you will learn This course offers you a collaborative environment with a diverse group of adult learners from various professional backgrounds. You will benefit from discussion and peer learning, enhanced by the practical experience of our students. Teaching consists of formal lectures, which provide an overview of key topics and stimulate deeper exploration, complemented by practical classes that focus on problem-solving. Seminars allow for in-depth discussions and exchange of ideas, and your own independent study, including project work, also plays a vital role in enhancing your learning experience. This course is available to study full- or part-time. It has evening classes, which you can choose to attend on campus or online depending on the module, to help you balance study, work and other commitments. This course is part of our Birkbeck Flexible Master’s UK, which gives you the choice of how you want to study - on campus, online or via flexible learning, which combines both. If you require a Student visa to study in the UK, you will only be able to apply for the on-campus study option for this course. Online and flexible options will not be available to you because they may affect the conditions of your visa. Please note that if you opt for the online route you will still need to attend Birkbeck campus for some assessments.
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