Skilled professionals in the finance sector of all industries are highly sought-after individuals. Their ability to decipher the ever-growing complexity in the world of finance is a quality that is not only more demanded but also additionally rewarded in equal measure.
As an applied branch of economics, the Master of Science in Finance explores challenging technical courses, which require students to have strong mathematical and statistical econometrics abilities. The program uncovers topics such as asset pricing, portfolio management, fixed income securities and credit markets, derivative securities, blockchain fundamentals, mergers and acquisitions and financial risk management.
Not only is Finance a critical function of all industries, but it is rapidly evolving and also experiencing new disruption through cryptocurrencies and the underlying blockchain technologies. Business institutions constantly seek finance trained and finance knowledgeable personnel and these courses are designed to guarantee that you meet the demands.
The Master of Science in Finance is a one-year degree program specifically designed to prepare graduates as the next generation of leaders in finance.
The aim of the Master of Science in Finance is to ensure that students are able to effectively engage in an increasingly globalised, diverse and multifaceted world having acquired the requisite skills. Students will, at the end of the program, be able to confidently engage in: