Sobre este curso

Coventry University
  • Data de início

    2020 - 2021
  • Fees

  • Study mode

  • Ucas Code

  • Campus

    Coventry University
  • Qualification

    Master of Science

O melhor curso na melhor universidade para você

The emphasis of this career-focused and topical degree is on interpreting, evaluating and communicating financial information for strategic and managerial purposes. Content is regularly reviewed and updated to reflect new developments and the requirements of the profession, needs of industry and government policy. We will aim to help you develop a critical awareness and understanding of contemporary financial issues and theories relating to corporate finance, financial strategy, emerging markets and behavioural finance. For example, weâ??ll explore the use of derivatives as hedging/speculative tools and the problems they can cause for companies. Enhancing your technical, analytical and mathematical skills, youâ??ll be exposed to the real financial practices and techniques you will encounter working in the finance industry â?? through investment software and databases like Bloomberg and Datastream. You should learn to value financial assets such as shares, bonds and derivatives as well develop econometric skills to analyse cross-sectional and time series data. We strive to provide you with an international perspective on the world of finance as a range of modules have an international focus â?? covering risk management, emerging markets and corporate finance. Key course benefits; Jewson, Penso, and Interserve. There is no financial support available by the University.

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