Programme Type:

Course Overview

You’ll gain hands-on experience of the process of financial decision-making and practical knowledge of the workings and role of financial markets in the allocation of capital. The course also gives you an understanding of the qualitative and quantitative techniques needed to interpret market reactions to geopolitical events such as oil-price shocks and financial crises.

Throughout this Master's course, you’ll get the opportunity to apply theory and analytical techniques to real events and companies in real-time. In your dissertation, you’ll identify and answer a real-world question, or extend your company analysis skills developed in Financial Statement Analysis.

Entry Requirement 

You’ll need a minimum of a second-class Honours degree or equivalent.

Applicants without these formal qualifications but with significant appropriate/relevant work/life experience are encouraged to apply.

English Language Requirements:

If English is not your first language, you must have one of the following qualifications as evidence of your English language skills:

  • IELTS: 6.0 with 5.5 minimum in each skill
  • Cambridge Certificate of Proficiency in English (CPE): Grade C
  • Cambridge Certificate of Advanced English (CAE): Grade C
  • Pearson Test of English (Academic): 54 with 51 in each component
  • IBT TOEFL: 80 with no subtest less than 17

Fees

One-time fees Amount in AED

  • Registration 3500

Annual fee Amount in AED (per year)

  • Tuition 50000
  • Examination 1000

This information was accurate on : 23/02/2021
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