
Master of Science - Global Finance







About Master of Science - Global Finance
This course integrates both the CFA and FRM exam curricula into a single master’s program, specialising in traditional financial analysis, portfolio management, alternative investment and financial risk-management. This program is highly professionally relevant, producing well-equipped, career-ready graduates.
Students will cover the majority of the curriculum required to pass the rigorous professional finance exams which are most in demand from global financial institutions – namely certification with the CFA Institute or the Global Association of Risk Professionals Financial Risk Manager (FRM). If they wish to sit for these qualifications on graduation, they will need to register and complete the final exams with the relevant professional bodies.
Similar Programs
Master of Science - Global Finance (with Extended Professional Practice)
Master of Science - Economics, Banking and Finance
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