英国曼彻斯特大学风险管理硕士课程设置
Quantitative Finance: Risk Management 第一学期:必修课4门 Essentials of Finance Stochastic Calculus Portfolio Investment Derivative Securities 第二学期:必修课3门 Financial Econometrics Generalised Linear Models and Survival Analysis Credit Risk Management 选修课1门 Real Options in Corporate Finance Interest Rate Derivatives Risk, Performance and Decision Analysis Simulation and Risk Analysis
以上就是关于英国曼彻斯特大学风险管理硕士课程设置的详细信息,如果有任何疑问或是更多问题,可以随时点击小满客服老师进行咨询,小满教育帮你牵手英美名校~