MSc Finance with Specialisations
Course overview
Qualification | Master's Degree |
Study mode | Full-time |
Duration | 1 year |
Intakes | September |
Tuition (Local students) | Data not available |
Tuition (Foreign students) | RM 95,338 |
Admissions
Intakes
Fees
Tuition
- Data not available
- Local students
- RM 95,338
- Foreign students
Estimated cost as reported by the Institution.
Application
- Data not available
- Local students
- Data not available
- Foreign students
Student Visa
- Data not available
- Foreign students
Every effort has been made to ensure that information contained in this website is correct. Changes to any aspects of the programmes may be made from time to time due to unforeseeable circumstances beyond our control and the Institution and EasyUni reserve the right to make amendments to any information contained in this website without prior notice. The Institution and EasyUni accept no liability for any loss or damage arising from any use or misuse of or reliance on any information contained in this website.
Entry Requirements
- We require a minimum of a lower second class (2:2) UK Honours undergraduate degree, in any discipline, from a recognised institution.
- Other equivalent international qualifications as recommended by the National Academic Recognition Centre will be accepted.
English Language Requirements:
- Cambridge Certificate in Advanced English, grade C
- GCSE/IGCSE English, grade C (for non-EU IGCSE students, please provide along with the IGCSE certificate, the Supplementary Certifying Statement with the breakdown of component grades)
- IB Diploma English A grade 5 or above HL or SL
- IELTS (International English Language Testing System) with an overall score of 6.5 (for non-EU students: a minimum score of 5.5 in each component)
- TOEFL (Test of English as a Foreign Language) score of 90 (internet-based test) (TOEFL results not accepted post 17 April 2014 for non EU/UK students)
Curriculum
Term 1
- Corporate Finance
- Corporate Valuation
- Investment Analysis
- Research Methods - Pre-Session
Term 2
- Bank Risk Management
- Monetary Policy and Central Bank Operations
- Research Methods
In addition, you will choose a specialisation with one of the the following elective modules:
- Banking Regulation
- Bond Markets and Credit Derivatives
- Trading and Hedge Funds
Term 3
- Dissertation