The Master of Science in Finance program focuses on financial theory, investment analysis, and corporate finance. It prepares graduates for careers in financial analysis, investment management, and corporate finance.
Applicants should have a bachelor’s degree in finance, accounting, or a related field. Strong analytical and quantitative skills are required.
This program is two years long, comprising six trimesters.
Module code | Module Name |
---|---|
MSCF9111 | Advanced Quantitative Methods For Finance |
MSCF9112 | Research Methodology |
MSCF9113 | Financial Econometrics And Modeling |
MSCF9114 | Financial Accounting |
MSCF9125 | Public Financial Management |
MSCF9126 | Corporate Financial Management |
MSCF9127 | Financial Markets And Institutions |
MSCF9128 | Security Analysis And Portfolio Management |
MSCF91310 | Real Estate Finance. |
MSCF91311 | International Finance. |
MSCF91312 | Advanced Risk Management And Derivatives |
MSCF9139 | Business Analysis And Valuation |
MSCF92113 | Dissertation |