15 credits
Level 5
First Term
This course expands knowledge and understanding about corporate actions such as: “real” investment decisions, for example, where a company invests in a new plant or machinery or designs a new product, “financing” decisions, where companies choose capital structure. We also study corporate decisions about payout and debt policy, and the impact of mergers and acquisitions on the value of the relevant corporations. Our theme is to place corporate actions in a global context using real-world examples to enhance knowledge and understanding of this sophisticated arena.
15 credits
Level 5
First Term
Financial Technology (Fintech) and Big Data are fast becoming household names in the financial services. While Fintech leverages on the advancements in technology from Blockchain and mobile access internet to Machine Learning to develop new ways of providing financial services, the explosive big data offers opportunities for new and incumbent players to improve decision making and increase efficency through insights from data. These advances have brought transformational changes in many areas of the finance industry. The overarching aim of this course is to introduce you to the concepts of Financial Technology (Fintech) and Big Data and their application and challenges.
15 credits
Level 5
First Term
Becoming a Certified Financial Analyst charterholder is the aspiration of every finance industry professional. This course covers the CFA syllabus in partnership with Fitch Learning. You will engage with a sequence of learning materials and will have access to a dedicated tutor who will support you week to week and prepare you for the CFA level 1 exam. You will also reflect on professional and academic approaches to finance.
15 credits
Level 5
First Term
Becoming a Certified Financial Analyst charterholder is the aspiration of every finance industry professional. This course covers the CFA syllabus in partnership with Fitch Learning. You will engage with a sequence of learning materials and will have access to a dedicated tutor who will support you week to week and prepare you for the CFA level 1 exam. You will also reflect on professional and academic approaches to finance.
15 credits
Level 5
First Term
This course examines asset pricing and portfolio management within a modern practical context. The heart of modern portfolio theory is development of the relationship between expected return and risk. We analyse this central concept using an active learning approach to portfolio optimisation. This is where you build and estimate a portfolio optimisation model in Excel. Thereafter, we compare portfolio weights where different asset pricing models are used to estimate expected returns. During the course consideration is also given to performance measurements such as the Sharpe ratio and Jensen’s alpha. At the heart of our discussion is fulfillment of the objectives, given the constraints of the investor (client) who may be an individual or an institution (such as an endowment or pension fund). Following the ethics provided by the Chartered Financial Analyst (CFA) Institute our aim is to embed contemporary developments in asset pricing within the context of the professional investment arena and the portfolio manager.
15 credits
Level 5
First Term
In this course we will study basic derivatives contracts: forwards, futures, options and swaps, written on a variety of underlying instruments. We will also investigate interest rate and credit derivatives that will introduce you to a broader world of more complex derivatives products. This course will provide you with an introduction to essential areas in derivatives from both a theoretical and a practical perspective. The theoretical aspect will cover the pricing mechanism of forwards, options and swaps, the construction of Binomial tree model as well as the underpinnings of the Black-Scholes model. The practical aspect will focus on the derivatives trading, the organisation and structure of derivatives markets and hedging with derivatives as well as their role is risk management. The course will equip you with rigorous analytical skills in order to be able to conduct a broad quantitative analysis in the area of derivatives with the use of Excel spreadsheets.
15 credits
Level 5
First Term
Financial Technology (Fintech) and Big Data are fast becoming household names in the financial services. While Fintech leverages on the advancements in technology from Blockchain and mobile access internet to Machine Learning to develop new ways of providing financial services, the explosive big data offers opportunities for new and incumbent players to improve decision making and increase efficency through insights from data. These advances have brought transformational changes in many areas of the finance industry. The overarching aim of this course is to introduce you to the concepts of Financial Technology (Fintech) and Big Data and their application and challenges.
15 credits
Level 5
First Term
This course will describe and provide knowledge and understanding of the banking industry. Banks face specific issues and have unique needs, requiring a dedicated approach which can articulate their functioning. Using both a theoretical and practical approach, this course provides key insights essential to an understanding of the modern banking industry. The course also provides essential knowledge of the actors and practices of the industry. Key topics are: banks’ financial statements; banks’ activities; the different types of banks; banks’ managements; banks’ assets and liabilities management; banks’ specific issues; evolution in the banking sector.
15 credits
Level 5
First Term
Becoming a Certified Financial Analyst charterholder is the aspiration of every finance industry professional. This course covers the CFA syllabus in partnership with Fitch Learning. You will engage with a sequence of learning materials and will have access to a dedicated tutor who will support you week to week and prepare you for the CFA level 1 exam. You will also reflect on professional and academic approaches to finance.
15 credits
Level 5
Second Term
Expand your knowledge of business finance and accounting from a management perspective.
This course shows how managers use the principles of business finance and accountancy to solve practical problems. Through application to real world problems, we develop an understanding of the action's managers take to increase the value of a company for shareholders and stakeholders.
15 credits
Level 5
Second Term
This course examines asset pricing and portfolio management within a modern practical context. The heart of modern portfolio theory is development of the relationship between expected return and risk. We analyse this central concept using an active learning approach to portfolio optimisation. This is where you build and estimate a portfolio optimisation model in Excel. Thereafter, we compare portfolio weights where different asset pricing models are used to estimate expected returns. During the course consideration is also given to performance measurements such as the Sharpe ratio and Jensen’s alpha. At the heart of our discussion is fulfillment of the objectives, given the constraints of the investor (client) who may be an individual or an institution (such as an endowment or pension fund). Following the ethics provided by the Chartered Financial Analyst (CFA) Institute our aim is to embed contemporary developments in asset pricing within the context of the professional investment arena and the portfolio manager.
15 credits
Level 5
Second Term
Financial Technology (Fintech) and Big Data are fast becoming household names in the financial services. While Fintech leverages on the advancements in technology from Blockchain and mobile access internet to Machine Learning to develop new ways of providing financial services, the explosive big data offers opportunities for new and incumbent players to improve decision making and increase efficency through insights from data. These advances have brought transformational changes in many areas of the finance industry. The overarching aim of this course is to introduce you to the concepts of Financial Technology (Fintech) and Big Data and their application and challenges.
15 credits
Level 5
Second Term
This course will describe and provide knowledge and understanding of the banking industry. Banks face specific issues and have unique needs, requiring a dedicated approach which can articulate their functioning. Using both a theoretical and practical approach, this course provides key insights essential to an understanding of the modern banking industry. The course also provides essential knowledge of the actors and practices of the industry. Key topics are: banks’ financial statements; banks’ activities; the different types of banks; banks’ managements; banks’ assets and liabilities management; banks’ specific issues; evolution in the banking sector.
15 credits
Level 5
Second Term
Becoming a Certified Financial Analyst charterholder is the aspiration of every finance industry professional. This course covers the CFA syllabus in partnership with Fitch Learning. You will engage with a sequence of learning materials and will have access to a dedicated tutor who will support you week to week and prepare you for the CFA level 1 exam. You will also reflect on professional and academic approaches to finance.
15 credits
Level 5
Third Term
Expand your knowledge of business finance and accounting from a management perspective.
This course shows how managers use the principles of business finance and accountancy to solve practical problems. Through application to real world problems, we develop an understanding of the action's managers take to increase the value of a company for shareholders and stakeholders.
15 credits
Level 5
Third Term
This course examines asset pricing and portfolio management within a modern practical context. The heart of modern portfolio theory is development of the relationship between expected return and risk. We analyse this central concept using an active learning approach to portfolio optimisation. This is where you build and estimate a portfolio optimisation model in Excel. Thereafter, we compare portfolio weights where different asset pricing models are used to estimate expected returns. During the course consideration is also given to performance measurements such as the Sharpe ratio and Jensen’s alpha. At the heart of our discussion is fulfillment of the objectives, given the constraints of the investor (client) who may be an individual or an institution (such as an endowment or pension fund). Following the ethics provided by the Chartered Financial Analyst (CFA) Institute our aim is to embed contemporary developments in asset pricing within the context of the professional investment arena and the portfolio manager.
15 credits
Level 5
Third Term
In this course we will study basic derivatives contracts: forwards, futures, options and swaps, written on a variety of underlying instruments. We will also investigate interest rate and credit derivatives that will introduce you to a broader world of more complex derivatives products. This course will provide you with an introduction to essential areas in derivatives from both a theoretical and a practical perspective. The theoretical aspect will cover the pricing mechanism of forwards, options and swaps, the construction of Binomial tree model as well as the underpinnings of the Black-Scholes model. The practical aspect will focus on the derivatives trading, the organisation and structure of derivatives markets and hedging with derivatives as well as their role is risk management. The course will equip you with rigorous analytical skills in order to be able to conduct a broad quantitative analysis in the area of derivatives with the use of Excel spreadsheets.
15 credits
Level 5
Third Term
Becoming a Certified Financial Analyst charterholder is the aspiration of every finance industry professional. This course covers the CFA syllabus in partnership with Fitch Learning. You will engage with a sequence of learning materials and will have access to a dedicated tutor who will support you week to week and prepare you for the CFA level 1 exam. You will also reflect on professional and academic approaches to finance.
15 credits
Level 5
Third Term
Becoming a Certified Financial Analyst charterholder is the aspiration of every finance industry professional. This course covers the CFA syllabus in partnership with Fitch Learning. You will engage with a sequence of learning materials and will have access to a dedicated tutor who will support you week to week and prepare you for the CFA level 1 exam. You will also reflect on professional and academic approaches to finance.
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