全国统一学习专线 8:30-21:00
专业概况
在这里学什么?Overview
Demand is growing worldwide for experts who have the technical skills to measure and manage financial risk. This Masters degree prepares you to meet these requirements, equipping you to respond to emerging developments in the global capital and money markets.
You will gain comprehensive knowledge of essential topics including the dynamics of financial markets, the causes and effects of financial risk and professional practices for measuring and managing portfolio risk. You can also choose optional modules allowing you to specialise in areas such as accounting, international banking and security investment analysis.
Learning from highly qualified teaching staff involved in world-class research in financial risk management, you will test your knowledge in genuine business scenarios during practical case study exercises and simulations. Thanks to our excellent links with industry and commerce, you will gain an understanding of the latest challenges in financial markets worldwide.
Learning and teaching
We use a variety of teaching and learning methods to help you make the most of your studies. These include lectures, seminars, workshops, online learning and tutorials.
In addition to the assessed modules and research dissertation, you benefit from professional training activities and employability workshops.
Independent study is also vital for this course allowing you to prepare for taught classes and sharpen your own research and critical skills.
On this course you’ll be taught by our expert academics, from lecturers through to professors. You may also be taught by industry professionals with years of experience, as well as trained postgraduate researchers, connecting you to some of the brightest minds on campus.
Assessment
Assessment methods emphasise not just knowledge, but essential skills development too. This may include formal exams, group projects, reports, computer simulation exercises, essays and written assignments, group and individual presentations.
This diversity enables you to develop a broad range of skills as preparation for professional life.
Career opportunities
Graduates of this course are equipped with the skills and knowledge to pursue a range of career options within finance, including risk management, credit risk analysis, derivatives, insurance and finance research.
Previous graduates have gone on to work for a variety of financial institutions, investment banks, regulators and standard setters, international insurers, asset managers, underwriters and investment funds.
所属院系
进入哪个院系学习? Leeds University Business School中国学生入学要求
为来自中国的学生设计 Students need to have 4 year Bachelor's degrees. The University of Leeds uses institutional lists when assessing applications from accepted Chinese institutions, and requirements may vary by school. Please check the appropriate listings below before making an application. For courses require 1st class, students need to have Minimum of 80%. For courses require 2.1, students need to have Minimum of 75%. For courses require 2.2, students need to have Minimum of 70%. Minimum qualifications include: IELTS (International English Language Testing System) an overall band of 6.5 with no less than 6.0 in each component skill.课程信息
学制:全日制(12 个月)
学费:£29,250.00 (¥ 264,125) /年
开学时间:2022九月13日
申请截止日期:
留学地点:University of LeedsWoodhouse Lane,Leeds,LS2 9JT, England