The major in Capital Markets is concerned with applying the basic concepts introduced in the core finance course (FINM1001 Foundations of Finance) to study the financial decision facing the firm; investment decisions and portfolio management; derivatives and risk management; portfolio construction; corporate valuation; and debt markets. The aim of the major in Capital Markets is to develop skills and competencies in students that will enable them to embark upon a professional career in the fields of corporate financial management, financial consulting and planning, funds management, investment banking and stockbroking.
Requirements
This major requires the completion of 48 units, which must include:48 units from completion of the following course(s):
Code | Title | Units |
---|---|---|
FINM2001 | Corporate Finance | 6 |
FINM2002 | Derivatives | 6 |
FINM2003 | Investments | 6 |
FINM3005 | Corporate Valuation | 6 |
FINM3006 | Financial Intermediation and Debt Markets | 6 |
FINM3008 | Applied Portfolio Construction | 6 |
MGMT3015 | Corporate Strategy | 6 |
STAT2008 | Regression Modelling | 6 |