Program Objectives
This program aims to equip senior specialized financial professionals with,
■ Basic economical theories and methods
■ Operating mechanism of capital market
■ Pricing model of various financial instruments
■ Insurance theory
■ Foundational calculus
■ Risk management models
Through two and half years of study, students are expected to be able to analyze management problems by using econometric and statistical methods, and possess the ability to do scientific research work independently and innovatively.
Main Courses
Degree Courses: Introduction of China, Chinese, Intermediate Macroeconomics , Monetary Economics , Intermediate Microeconomics, Intermediate Econometrics
Compulsory Courses: Investment, Financial Economics, Insurance, Financial Institution Management, Corporate Finance
Elective Courses: Game Theory, Financial Data Mining , Financial Derivatives, Behavioral Finance, Fixed Income Securities, Corporate Theory, Actuarial Science , Sports, Chinese Writing
Duration: 2 years
Credits and Certification
Thirty-six credits are required, including dissertation. Qualified students will be granted certificates of graduation and Master Degree of Economics of Finance in the field of International Finance.
Instruction Language
■ All the courses are delivered in English except some of Chinese language courses.
■ Dissertation is required to be written in English
- 1. Applicants must be aged from 18 to 40 years old and in good physical condition;
2. Applicants should have undergraduate degree diploma;
3. Applicants should have good knowledge of English and Mathematics.