This major is for anyone who wants to work in banking and finance, investment and portfolio management, corporate finance, risk assessment or business analysis.
It will teach you how to use research methods to understand financial problems, as well as debt and equity capital markets, funds management, real estate as an asset class, and private equity.
You'll gain an understanding of behavioural finance, and how this underpins financial decision-making, including trading strategies, investment decisions, managerial behaviour, and institutional frictions that influence economic outcomes.
Graduates enjoy careers in corporate finance, investment banking, mergers and acquisitions, and management and financial consulting. |
Test Scores: | - International English Language Testing System (academic or immigration) [min. 6.5] or Test of English as a Foreign Language (Paper Based) [min. 570] or Test of English as a Foreign Language (Internet Based) [min. 87]
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* We make every attempt to provide accurate information on prerequisites, programs, and tuition. However, this information is subject to change without notice and we highly recommend that you contact the school to confirm important information before applying.