International Finance

This programme is specifically designed with dedicated courses to deepen your understanding of the forces driving the global economy and the operations of international financial markets. The programme provides a rigorous foundation on the theory of international finance and the necessary technical skills used in applied financial markets analysis, with a particular emphasis on fundamental tools for financial analysis such as R, Python, and Excel. The programme includes such modules as Applied Portfolio Management; Financial Econometrics; Microeconomic Theory; Global Financial Economics; Financial Data Analytics; Economics and the Global Economy; Financial and Macroeconomic History; and Derivatives and Risk Management. Students also complete a minor dissertation.