Finance MBA specialization in financial management & markets is an integrated program of study that deals with various advanced topics in risk management of the corporation. Various advanced topics in risk management of the corporation are: - Quality of earnings analysis
- Valuation concepts
- Hedging strategies
- Value at-risk techniques
- Portfolio management approaches
A set of themes that combine the whole curriculum is presented in each course, including: - Financial management of risk
- Globalization
- Information technology
- Teamwork
- Communication
People graduating from the financial management & markets specialization can expect to find positions in: - Corporate financial management as treasury analysts, or as capital budgeting analysts, or as financial planning and control analysts.
- Banking/financial institutions as credit analysts, or as lending officers, cash managers, as trust department analysts, or as international money management analysts.
- Investments as securities analysts, as stock brokers, or as securities traders, or investment advisors.
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