This programme has been designed to provide a solid foundation in Finance and Empirical Finance. The course fully integrates theory and practise and provides the opportunity to take a number of specialist modules to focus learning on a particular area of finance. Companies are looking for a combination of high-level interpersonal skills, in-depth knowledge and analytical skills to enable them to succeed in a rapidly changing and highly complex environment and this programme has been designed with those expectations in mind. This one-year programme offers finance graduates the ability to further develop their skills, especially in quantitative analysis, to become highly numerate graduates with excellent analytical skills. Teamwork is a key component, with several modules requiring students to undertake groupwork assignments.
Introduction to Finance; Introduction to Portfolio Management and Exchange-traded Derivatives; Quantitative Finance; Advanced Corporate Finance; Advanced Time Series Modelling; International Finance; Behavioural Finance; Stock Market Analysis; Management of Financial Risk; Derivative Securities Analysis; Fixed Income Securities Analysis
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