伯明翰大學(xué)商學(xué)院是獲得三重認證的世界頂尖1%商學(xué)院,開設(shè)的專業(yè)種類豐富,就拿經(jīng)濟金融相關(guān)專業(yè)來說,就足足有8個分類。感興趣的童鞋們,今天小編就為大家整理了伯明翰大學(xué)經(jīng)濟金融與統(tǒng)計8大細分專業(yè)詳細解析,看明白再選專業(yè)!希望對你有所幫助,有任何問題都可以咨詢IDP留學(xué)顧問哦!
申請條件:經(jīng)濟學(xué)或相關(guān)學(xué)科2:1榮譽學(xué)士學(xué)位(或海外同等學(xué)歷)。你應(yīng)該接受過良好的經(jīng)濟學(xué)訓(xùn)練,至少達到中級水平,并且至少接受過微觀經(jīng)濟學(xué)、宏觀經(jīng)濟學(xué)、計量經(jīng)濟學(xué)或統(tǒng)計學(xué)、數(shù)學(xué)或某個量化學(xué)科課程的本科級別的課程。
課程設(shè)置:
Core modules核心課程*卜同學(xué)伯明翰大學(xué)貨幣,銀行與金融成功案例
Development Economic Policy, 10 credits
Dissertation (Economics), 60 credits
Econometrics, 20 credits
Macroeconomics, 20 credits
Microeconomics, 20 credits
Topics in Development Economics, 20 credits
Optional modules 選修課程
Choose 30 credits from the following:
Applied Econometrics, 20 credits
Corporate Finance, 10 credits
Economics of Financial Markets, 10 credits
Environmental Economics, 20 credits
Experimental and Behavioural Economics, 10 credits
International Banking and Finance: Regulation and Supervision, 10 credits
International Trade Policy, 10 credits
International Trade Theory, 20 credits
Monetary Policy, 10 credits
Natural Resource Economics, 10 credits
Political Economy and Economic Policy, 10 credits
Risk, Uncertainty and Information, 10 credits
申請條件:
經(jīng)濟學(xué)或相關(guān)學(xué)科2:1榮譽學(xué)士學(xué)位(或海外同等學(xué)歷)。你應(yīng)該接受過良好的經(jīng)濟學(xué)訓(xùn)練,至少達到中級水平,并且至少接受過微觀經(jīng)濟學(xué)、宏觀經(jīng)濟學(xué)、計量經(jīng)濟學(xué)或統(tǒng)計學(xué)、數(shù)學(xué)或某個量化學(xué)科課程的本科級別的課程。
課程設(shè)置:
Core modules 核心課程
Game Theory, 20
Dissertation (Economics), 60
Econometrics, 20
Macroeconomics, 20
Microeconomics, 20
Optional modules 選修課程
Choose 40 credits from the following:
Applied Econometrics, 20
Corporate Finance, 10
Development Economic Policy, 10
Economics of Financial Markets, 10
Environmental Economics, 20
Experimental and Behavioural Economics, 10
International Banking and Finance: Regulation and Supervision, 10
International Trade Policy, 10
International Trade Theory, 20
Monetary Policy, 10
Natural Resource Economics, 10
Political Economy and Economic Policy, 10
Risk, Uncertainty and Information, 10
Topics in Development Economics, 20
申請條件:經(jīng)濟學(xué)或相關(guān)學(xué)科2:1榮譽學(xué)士學(xué)位(或海外同等學(xué)歷)。你應(yīng)該接受過良好的經(jīng)濟學(xué)訓(xùn)練,至少達到中級水平,并且至少接受過微觀經(jīng)濟學(xué)、宏觀經(jīng)濟學(xué)、計量經(jīng)濟學(xué)或統(tǒng)計學(xué)、數(shù)學(xué)或某個量化學(xué)科課程的本科級別的課程。
我們也可以考慮擁有另一個學(xué)科學(xué)位的學(xué)生(最好是在社會科學(xué)領(lǐng)域),該學(xué)科的研究包括微觀經(jīng)濟學(xué)、數(shù)學(xué)和統(tǒng)計學(xué)課程。我們希望你也學(xué)過宏觀經(jīng)濟學(xué)和計量經(jīng)濟學(xué)。
課程設(shè)置:
Core modules 核心課程
Dissertation (Economics), 60 credits
Econometrics, 20 credits
Environmental Economics, 20 credits
Macroeconomics, 20 credits
Microeconomics, 20 credits
Natural Resource Economics, 10 credits
Optional modules 選修課程
Choose 30 credits from the following:
Applied Econometrics, 20 credits
Corporate Finance, 10 credits
Development Economic Policy, 10 credits
Economics of Financial Markets, 10 credits
Experimental and Behavioural Economics, 10 credits
International Banking and Finance: Regulation and Supervision, 10 credits
International Trade Policy, 10 credits
International Trade Theory, 20 credits
Monetary Policy, 10 credits
Political Economy and Economic Policy, 10 credits
Risk, Uncertainty and Information, 10 credits
Topics in Development Economics, 20 credits
Topics in Money and Banking, 10 credits
申請條件:經(jīng)濟學(xué)或相關(guān)學(xué)科2:1榮譽學(xué)士學(xué)位(或海外同等學(xué)歷)。你應(yīng)該接受過良好的經(jīng)濟學(xué)訓(xùn)練,至少達到中級水平,并且至少接受過微觀經(jīng)濟學(xué)、宏觀經(jīng)濟學(xué)、計量經(jīng)濟學(xué)或統(tǒng)計學(xué)、數(shù)學(xué)或某個量化學(xué)科課程的本科級別的課程。
課程設(shè)置:
Core modules 核心課程
Dissertation (Economics), 60 credits
Econometrics, 20 credits
Economics of Financial Markets, 10 credits
Financial Econometrics, 20 credits
Macroeconomics, 20 credits
Options and Derivatives, 10 credits
Theory of Finance, 20 credits
Topics in Money and Banking, 10 credits
Optional modules 選修課程
Choose 10 credits from the following:
從以下課程中選擇10學(xué)分課程
Corporate Finance, 10 credits
Development Economic Policy, 10 credits
Experimental and Behavioural Economics, 10 credits
International Banking and Finance: Regulation and Supervision, 10 credits
International Trade Policy, 10 credits
Monetary Policy, 10 credits
Natural Resource Economics, 10 credits
Political Economy and Economic Policy, 10 credits
申請條件:經(jīng)濟學(xué)或相關(guān)學(xué)科2:1榮譽學(xué)士學(xué)位(或海外同等學(xué)歷)。你應(yīng)該接受過良好的經(jīng)濟學(xué)訓(xùn)練,至少達到中級水平,并且至少接受過微觀經(jīng)濟學(xué)、宏觀經(jīng)濟學(xué)、計量經(jīng)濟學(xué)或統(tǒng)計學(xué)、數(shù)學(xué)或某個量化學(xué)科課程的本科級別的課程。
課程設(shè)置:
Core modules核心課程
Dissertation (Economics), 60 credits
Econometrics, 20 credits
International Trade Policy, 10 credits
International Trade Theory, 20 credits
Macroeconomics, 20 credits
Microeconomics, 20 credits
Optional modules選修課程
Choose 30 credits from the following:
Applied Econometrics, 20 credits
Corporate Finance, 10 credits
Development Economic Policy, 10 credits
Economics of Financial Markets, 10 credits
Environmental Economics, 20 credits
Experimental and Behavioural Economics, 10 credits
International Banking and Finance: Regulation and Supervision, 10 credits
Monetary Policy, 10 credits
Natural Resource Economics, 10 credits
Political Economy and Economic Policy, 10 credits
Risk, Uncertainty and Information, 10 credits
Topics in Development Economics, 20 credits
申請條件:經(jīng)濟學(xué)或相關(guān)學(xué)科2:1榮譽學(xué)士學(xué)位(或海外同等學(xué)歷)。你應(yīng)該接受過良好的經(jīng)濟學(xué)訓(xùn)練,至少達到中級水平,并且至少接受過微觀經(jīng)濟學(xué)、宏觀經(jīng)濟學(xué)、計量經(jīng)濟學(xué)或統(tǒng)計學(xué)、數(shù)學(xué)或某個量化學(xué)科課程的本科級別的課程。
課程結(jié)構(gòu):
Core modules 核心課程
Dissertation (Economics), 60 credits
Econometrics, 20 credits
Economics of Financial Markets, 10 credits
Financial Econometrics, 20 credits
International Banking and Finance, 20 credits
Macroeconomics, 20 credits
Monetary Policy, 10 credits
Topics in Money and Banking, 10 credits
Optional modules選修課程
Choose 10 credits from the following:
Corporate Finance, 10 credits
Development Economic Policy, 10 credits
Experimental and Behavioural Economics, 10 credits
International Banking and Finance: Regulation and Supervision, 10 credits
International Trade Policy, 10 credits
Natural Resource Economics, 10 credits
Political Economy and Economic Policy, 10 credits
Risk, Uncertainty and Information, 10 credits
Security Analysis and Portfolio Theory, 10 credits
優(yōu)勢:該課程由數(shù)學(xué)學(xué)院和經(jīng)濟系聯(lián)合教授,提供給學(xué)生技能,使技術(shù)過關(guān)的畢業(yè)生(包括數(shù)學(xué)、科學(xué)和工程)能夠?qū)⑺麄兊牧炕?xùn)練運用到金融分析中。
申請條件:數(shù)學(xué)或相關(guān)數(shù)學(xué)科目(如物理或工程)的一等榮譽(或海外同等學(xué)歷),或工業(yè)數(shù)學(xué)的相關(guān)聯(lián)合榮譽學(xué)位。
課程設(shè)置:
The programme comprises 180 credits in total (credits are given in brackets).
總計180學(xué)分
Term 1 (October – December) 第一學(xué)期
Core Modules 核心課程
Econometrics with Financial Applications (15 - Term 1)
forecasting; stochastic volatility; ARCH; GARCH; co-integration; statistical-arbitrage; non-stationarity; unit roots
Introduction to Quantitive Finance (10)
options pricing; Black-Scholes; European and American options; exotic options; fixed income; binomial method; random walks
C++ for Finance (10 - Term 1)
valuation system, simulation, polymorphic factory, design patterns, Boost library
Computational Methods and Programming (20)
Numerical Methods II (10)
Interpolation methods (including piecewise polynomial), numerical integration (including Newton-Cotes and Gaussian quadrature), finite difference method for boundary-value problems, convergence acceleration and Richardson extrapolation.
Risk Analytics* (10)
copulas; Value-at-Risk; expected shortfall (cVaR); mean-variance portfolio optimization; PCA; stress testing; Black-Litterman; live trading
* Alternatively, students can attend the Advanced Risk and Portfolio Management Bootcamp in advance.
Optional Modules選修課程
International Banking and Finance (20)
Macroeconomics (20)
Economic growth, consumption, investment, exchange rates, interest parity conditions, overshooting, speculative attacks, inflation, monetary policy.
Nonlinear Programming I (10)
Optimality condition; convex set and convex function; duality theory; unconstrained optimization; constrained optimization; conjugate gradient algorithms; Newton-type algorithms; interior point algorithms; Lagrangian methods.
Topics in Money and Banking (10)
Integer Programming (10)
Alternative formulations; optimality; relaxation; primal and dual bounds; total unimodularity; cut-plane algorithm; branch and bound method; network flow problems; knapsack problems; matching problem; assignment problem; set covering problem
Game Theory (10)
Conic Optimization (10)
Relevant modules for those without all the requisite undergraduate mathematics training include: PDEs, Transform Theory, and Complex Variable Theory for Physicists. Graduate modules offered elsewhere in the University may also be taken with the Programme Director's approval.
Term 2 (January - March) 第二學(xué)期
Core Modules核心課程
Econometrics with Financial Applications (15 - Term 2)
forecasting; stochastic volatility; ARCH; GARCH; co-integration; statistical-arbitrage; non-stationarity; unit roots
Exotic options, bonds and further quantitative finance (10)
options pricing; Black-Scholes; European and American options; exotic options; fixed income; binomial method; random walks
C++ for Finance (10 - Term 2)
valuation system, simulation, polymorphic factory, design patterns, Boost library
Numerical Linear Algebra with Applications (10)
iterative methods for sparse linear systems, numerical methods for eigenvalue problems, FEM matrix analysis, fast Poisson solvers, eigenvalue computation for elliptic problems.
Optional Modules選修課程
Non-Linear Programming II (10)
Optimality condition; convex set and convex function; duality theory; unconstrained optimization; constrained optimization; conjugate gradient algorithms; Newton-type algorithms; interior point algorithms; Lagrangian methods.
Combinatorial Optimisation (10)
Alternative formulations; optimality; relaxation; primal and dual bounds; total unimodularity; cut-plane algorithm; branch and bound method; network flow problems; knapsack problems; matching problem; assignment problem; set covering problem
Advanced quantitative finance: crashes, volatility, multiple assets and hedging (10)
crashes; volatility modeling; multi-asset options; hedging; liquidity; asset allocation; stochastic control; historical lessons; Monte Carlo
Heuristic Optimisation (10)
Exhaustive search; tapu-search, local search; greedy algorithms; dynamic programming; computer simulation; evolutionary Algorithms.
Experimental and Behavioural Economics (10)
Further Mathematical Finance (10)
Topics in Management Mathematics (10)
Relevant modules for those without all the requisite undergraduate mathematics training include: Numerical Methods in Linear Algebra, Programming. Graduate modules offered elsewhere in the University may also be taken with the Programme Director's approval.
Term 3 (May - June) 第三學(xué)期
Examination Period 考試時期
July - September
Dissertation (40)
備注:鼓勵學(xué)生在論文時期同時找實習(xí)。
申請條件:經(jīng)濟學(xué)或相關(guān)學(xué)科2:1榮譽學(xué)士學(xué)位(或海外同等學(xué)歷)。你應(yīng)該接受過良好的經(jīng)濟學(xué)訓(xùn)練,至少達到中級水平,并且至少接受過微觀經(jīng)濟學(xué)、宏觀經(jīng)濟學(xué)、計量經(jīng)濟學(xué)或統(tǒng)計學(xué)、數(shù)學(xué)或某個量化學(xué)科課程的本科級別的課程。
課程設(shè)置:
Core modules 核心課程
Dissertation (Economics), 60 credits
Econometrics, 20 credits
Economics of Financial Markets, 10 credits
Financial Econometrics, 20 credits
International Banking and Finance, 20 credits
Macroeconomics, 20 credits
Monetary Policy, 10 credits
Topics in Money and Banking, 10 credits
Optional modules 選修課程
Choose 10 credits from the following:
Corporate Finance, 10 credits
Development Economic Policy, 10 credits
Experimental and Behavioural Economics, 10 credits
International Banking and Finance: Regulation and Supervision, 10 credits
International Investment, 10 credits
International Trade Policy, 10 credits
Natural Resource Economics, 10 credits
Political Economy and Economic Policy, 10 credits
Risk, Uncertainty and Information, 10 credits
Security Analysis and Portfolio Theory, 10 credits
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