帝国理工学院金融工程 帝国理工学院金融硕士含金量?
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范文为教学中作为模范的文章,也常常用来指写作的模板。常常用于文秘写作的参考,也可以作为演讲材料编写前的参考。范文书写有哪些要求呢?我们怎样才能写好一篇范文呢?下面我给大家整理了一些优秀范文,希望能够帮助到大家,我们一起来看一看吧。
• financial statistics
• advanced financial statistics
• stochastic calculus
• risk management
• financial engineering
• investments and portfolio management
• online pre-study courses and september foundation courses
• finance
• mathematics for finance
• financial econometrics
• advanced financial econometrics
• investment and portfolio management
• asset pricing and derivatives
• statistical methods in finance
• fixed income markets
• advanced credit risk modelling
• simulation methods for finance
• lévy processes and stochastic volatility
• advanced methods in volatility modelling
• numerical methods for finance
• stochastic processes
• theory of finance
• mathematical finance: an introduction to option pricing theory
• computing in c++ i: programming in c
• advanced methods in derivatives pricing
• quantitative risk management
• interest rate models
• computing in c++ ii: object oriented programming
• advanced corporate finance
• advanced investments
• banking
• cases in finance and investments
• structured credit and equity products
• behavioural investment management
• advanced options theory
• credit risk
• corporate finance of regulated industries
• applied corporate finance
• fixed income securities
• hedge funds
• international finance
• mergers and acquisitions
• private equity and entrepreneurial finance
• venture capital finance and innovation
下面来看看曾在ic就读的同学来简单说说一年的学习生活:
“8月:2门必修(网上做题)+1门数学选修(foundation),其中一门financial market的课是需要每章节都做quiz超过50%,能来回做,但是如果超过2章没有超过50%的话会有老师email联络你。accounting那门课是会在9月的结束上级统一考,一样50%及格,不及格就来回重考吧~
9月:4周强化课,一周五天朝九晚五。最夸张的就是见面第一天就发了一个带ic logo的电脑包,里面一箱书,这个pre-session包括financial modeling, business valuation, market &securities,financial market(小组presentation)还有计算机课,都有coursework和考试,必须及格。除此之外,每晚都有各种单位来presentation工作什么的。
10月-12月中:9周第一学期上课,四门必修课,第十周就是圣诞假前考完全部四门。恭喜你,开始了很quant的生活,maths for finance, financial econometrics, investment &portfolio mgmt, corporate finance。见仁见智吧,我是觉得非常紧张,平时每周各种quiz+各科都有2-4个不等的coursework。
1月-3月初:恭喜你苟延孱喘过了第一学期,幸运的话你考了高分,一般的话你至少pass了,不幸的话你已经开始累积了补考了~这学期是2门必修+2-3门选修课(depends on your choice of research paper or applied financial project)+2门计算机基础课(vba,c++),必修asset pricing & derivatives (john hull的经典教材),advanced financial econometrics(无教材,各种time series的理论,coursework非常之难),选修的话有各种,都在网上啦,还是不错的。选修课始终都是asymmetric的状态,有时候课难考试简单,考试难课简单,拼人品了~还是跟第一学期一样,9周上课,第10周考试。
3月-6月底:上学期考试一结束就有两周继续上课,然后可以换选修课什么的。然后就是3周假期,然后剩下的日子继续读完,统计下来也是相同的9周上课。这学期只有选修2-3门+计算机2门(adv. vba+ adv. c++)。
7月-8月底:dissertation/afp,大论文1w字,afp项目的话3k字。这期间允许你离开学校,参加工作/实习。应该说任务属于基本完成啦。”
• advanced corporate finance
• advanced investments
• banking, computational finance with c++
• credit risk
• enterprise risk management
• fixed-income securities
• general insurance
• hedge funds
• international finance
• life insurance
• numerical finance
• private equity and entrepreneurial finance
• venture capital finance and innovation
• structured credit and equity products
• behavioural investment management
• advanced options theory
2025年帝国理工学院金融工程 帝国理工学院金融硕士含金量?(六篇)
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