英國(guó)作為世界上留學(xué)的第二大國(guó)家。英國(guó)的金融業(yè)十分發(fā)達(dá),英國(guó)金融類專業(yè)一直是英國(guó)留學(xué)申請(qǐng)的熱門專業(yè)。英國(guó)大部分學(xué)校的金融專業(yè)被世界上所有國(guó)家承認(rèn),就業(yè)面廣,收入豐厚。下面出國(guó)留學(xué)網(wǎng)小編就和大家分享2016英國(guó)留學(xué)金融專業(yè)申請(qǐng)語(yǔ)言要求及課程設(shè)置 。
語(yǔ)言要求:
開設(shè)金融專業(yè)的英國(guó)大學(xué),名氣非常大的院校,一般要求申請(qǐng)者的語(yǔ)言成績(jī)達(dá)到6.5,現(xiàn)在隨著每年英國(guó)留學(xué)申請(qǐng)人群的不斷增加,有些院校的雅思要求已提高至7.0分以上。
在所有英國(guó)留學(xué)院校中,也有部分院校的金融專業(yè)招生比較低,只要學(xué)生雅思成績(jī)達(dá)到6.0即可。
如果你雅思成績(jī)不夠大學(xué)的入學(xué)標(biāo)準(zhǔn)的話,可以選擇讀語(yǔ)言課程或預(yù)科課程。
課程設(shè)置:
1、LSE MSC finance
背景要求: any discipline and good quantitative skills, at least to A level Mathematics (or the equivalent)
不限制本科背景,數(shù)學(xué)只要最低為ALEVEL的水平,數(shù)學(xué)要求并不高 (數(shù)學(xué)要求不高,但是按照實(shí)際錄取難度相當(dāng)高)
必修:
Corporate Finance
Asset Markets
選修: (* half unit) Choose four half unit
Financial Engineering* +
Topics in Portfolio Management* +
Risk Management and Financial Institutions* +
Applied Financial Valuation* +
Applied Corporate Finance*
Global Financial System*
Forecasting Financial Time Series*
Quantitative Methods for Finance and Risk Analysis*
International Finance*
Corporate Finance Theory*
Fixed Income Markets*
Corporate Finance II*
Fixed Income Securities and Credit Markets* +
首先必修是很基本的,由于不限制本科專業(yè),所以只設(shè)定了兩個(gè)必修,要求只要英國(guó)高中水平,這就是說大學(xué)你學(xué)文科,如果想轉(zhuǎn)金融就可以申了。由于只有兩個(gè)必修,選課自由度很大,這樣也能同時(shí)照顧本科學(xué)金融的同學(xué)了,選修有些科目Forecasting Financial Time Series,F(xiàn)inancial Engineering,Quantitative Methods for Finance and Risk Analysis等等不會(huì)只要求高中數(shù)學(xué)水平,但是對(duì)轉(zhuǎn)專業(yè)的同學(xué)Global Financial System,International Finance選這些課修起來也不會(huì)費(fèi)勁,這些偏向經(jīng)濟(jì)些??傊?,這科照顧了不同背景的同學(xué)。
2、IC finance (Imeprial College)
必修
Corporate finance
Mathematical techniques in finance
Statistics and financial econometrics (SAFE)
Theory of finance I
Theory of finance II
選修
Advanced corporate finance
Advanced credit derivatives and structured products
Advanced numerical finance with C++
Advanced options theory
Advanced portfolio management
Corporate finance in regulated industries
Credit risk
Enterprise risk management *
Financial statement analysis
Fixed-income securities
International finance
Introduction to numerical finance with C++
Personnel economics *
Portfolio management
Securitisation and reinsurance *
Special topics in private equity and entrepreneurship
必修課里主要是理論為主,數(shù)學(xué)和統(tǒng)計(jì)也專門開了課,可見對(duì)數(shù)學(xué)要求不低。 選修里的課是在眾學(xué)校里比較有心意的了c++
由于這幾年ICBS發(fā)展很快,錄取難度逐年提升。
3、WARWICK FINANCE
必修
• Asset Management
• Foundations of Corporate Finance
• Economics of Financial Markets
• International Finance
• Quantitative Methods for Finance
• Empirical Finance.
選修(選兩個(gè))
Behavioural Finance
International Financial Management
Financial Risk Management.
Investment Management:
Derivative Securities
Fixed Income & Credit Risk.
Corporate Finance:
Advanced Corporate Finance
Financial Reporting & Statement Analysis.
錄取背景:First degree in a relevant subject such as accounting, finance, economics, business administration, engineering, or a science with a good standard of undergraduate level mathematics。
首先看到這個(gè)專業(yè)可以有非金融的同學(xué)申請(qǐng),那么這個(gè)課程必然會(huì)有基礎(chǔ)課程要照顧轉(zhuǎn)專業(yè)的同學(xué)。 其實(shí)華威的這個(gè)finance課程并不出色,或者說優(yōu)于其他學(xué)校(很多同學(xué)對(duì)這個(gè)專業(yè)的好感很大程度來至于他的錄取難度很高),基礎(chǔ)的公司金融,國(guó)際金融重點(diǎn)研究匯率的影響,financial market也是面向轉(zhuǎn)專業(yè)的同學(xué)的。Empirical Finance在國(guó)外也是重要的部分(有些學(xué)校會(huì)在這科里面教financial econometrics),加上Quantitative Methods for Finance也是常見的設(shè)置。 看看選修,因?yàn)橹荒苓x兩科,比較偏“文科”公司金融和會(huì)計(jì)財(cái)務(wù)管理占了一半,剩下的Financial Risk Management,Derivative Securities,F(xiàn)ixed Income & Credit Risk還算比較好的。 總體來看這科專業(yè)對(duì)數(shù)學(xué)要求并不會(huì)太高,對(duì)本科是金融的同學(xué)有比較多重復(fù)的地方。但是上課是英文,所以當(dāng)你學(xué)起來也會(huì)感覺到都是新東西。但是對(duì)本科在英國(guó)的同學(xué)這個(gè)項(xiàng)目比較一般。據(jù)了解,F(xiàn)INANCE&ECONOMCS的數(shù)學(xué)要求更高,有興趣的同學(xué)可以看看。
4、MANCHESTER FINANCE
必修
Introductory Research Methods for Accounting and Finance
Essentials of Finance
Derivative Securities
Financial Econometrics
Research Methods and Methodology in Finance
Corporate Finance
選修
下面選一個(gè)
Portfolio Investment
International Macroeconomics and Global Capital Markets
Foundations of Finance Theory
下面選一個(gè)
International Finance
Financial Statement Analysis
Real Options in Corporate Finance
International Mergers and Acquisitions
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