Master International Risk Management and Finance (Full-time, Part-time) - Máster en Gestión de Riesgos Internacionales y Finanzas
This challenging and flexible course is designed to give professionals with a finance responsibility the global managerial competencies they require. This course provides a range of financial topics chosen to suit your background and career aspirations.
After completing the core components, studying such topics as portfolio management, corporate finance and financial statement analysis, you will choose from a range of specialist topics such as investments, corporate finance, financial modelling and banking.
Australian & NZ Students
A recognised bachelor degree or equivalent in the field of finance, or a recognised bachelor degree with relevant work experience in the finance industry.
Minimum English language entry requirements:
IELTS ACADEMIC (INTERNATIONAL ENGLISH LANGUAGE TESTING SYSTEM)
YEAR 1 SEMESTER 1
Integrated Financial Instruments and Markets
Financial Statement Analysis
Business Research Methods
Advanced Business Financial Modelling
YEAR 1 SEMESTER 2
Portfolio Management Theory and Applications
Culture and Ethics in Business
Contemporary Issues in International Finance
Advanced Corporate Finance and Theory
YEAR 2 SEMESTER 1
Advanced Derivative Securities
Finance Trading Strategies
Mergers and Acquisitions
Advanced Personal Finance
Graduates generally find employment within commercial industries.