Postgraduate Certificate in MBA in Finance Industry
-- ViewingNowThe Postgraduate Certificate in MBA in Finance Industry is a comprehensive course designed to provide learners with a deep understanding of financial markets, financial management, and financial services. This certificate course is essential for professionals seeking to advance their careers in the finance industry, as it equips learners with the latest skills and knowledge required to succeed in this dynamic field.
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⢠Financial Management: This unit will cover the fundamental concepts of financial management, including financial planning, control, and decision-making. Students will learn how to evaluate investment opportunities, manage working capital, and assess risk.
⢠Corporate Finance: This unit will focus on the financial management of corporations, including capital budgeting, capital structure, and dividend policy. Students will learn how to make financial decisions that maximize shareholder value.
⢠Investment Analysis and Portfolio Management: This unit will cover the principles of investment analysis and portfolio management, including asset pricing theory, portfolio optimization, and performance evaluation. Students will learn how to construct and manage investment portfolios that meet the needs of individual and institutional investors.
⢠Financial Markets and Institutions: This unit will examine the structure and functioning of financial markets and institutions, including banks, insurance companies, and investment firms. Students will learn how these institutions facilitate the flow of funds between borrowers and lenders, and how they manage risk.
⢠Risk Management and Financial Engineering: This unit will cover the principles of risk management and financial engineering, including the use of derivatives and other financial instruments to manage risk. Students will learn how to model and analyze financial risks, and how to develop strategies for managing those risks.
⢠Financial Econometrics: This unit will cover the principles of financial econometrics, including the use of statistical methods to analyze financial data. Students will learn how to estimate financial models, test hypotheses, and forecast future financial outcomes.
⢠International Finance: This unit will examine the financial management of multinational corporations, including foreign exchange risk management, international investment, and global financial markets. Students will learn how to make financial decisions in a global context, taking into account the unique challenges and opportunities of international finance.
⢠Ethics and Professional Standards in Finance: This unit will cover the ethical and professional standards that apply to financial professionals, including the CFA Institute Code of Ethics and Standards of Professional Conduct. Students will learn how to apply these standards in practice, and how to make ethical decisions in the face of conflicting interests.
⢠Behavioral Finance:
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