MSc Finance

MSc Financial Risk Management
Full-time AUTUMN TERM
29 September - 12 December 2014; Reading week: 3-7 November
L: Lecture
Monday
6-9pm
C: Class
Tuesday
6-9pm
Financial
Portfolio
Econometrics Theory
I
Hubbert
Wks 1-5
L: Petrella
Room
Room
Mathematics
of Financial
Derivatives
Hubbert
Wks 7-11
Wednesday
6-9 pm
Thurs
6-9 pm
Friday
Portfolio
Theory
Hubbert
Wks 1-5
Market Risk
Hubbert
OPTION
Monetary
Economics
Driffill
Mathematics
of Financial
Derivatives
Hubbert
Wks 7-11
6-9 pm
(weeks 8-11)
MSc Financial Risk Management Full-time SPRING TERM 2015
5 January – 20 March 2015 Feb 9-13 (Reading Week)
Examinations: Financial Econometrics I- 5 January
Portfolio Theory - 6 January
Monday
6-9pm
Tuesday
6-9 pm
Wednesday
6-9pm
Thursday
6-9 pm
Friday
6-9 pm
Credit Risk
Brummelhuis
OPTION
Advanced
Topics I
Asset
Management
Financial
Econometrics
II
OPTIONS
Weeks 1-5, 711
Contemporary Weeks 1-5, 7-11
Issues in
Financial
Reporting
(Management
Dept)
Room
Tuesday and Wednesday,6-9pm
OPTION
Financial Markets, Banking &
Regulation
(Starts week 2, runs 2-1)
Weeks 1-5, 711
Weeks 1-5,
7-11
Forecasting
Povala
Room
Monetary
Economics
Aksoy/Wright
(weeks 1-6)
Corporate
Finance
Nikandrova
Room
MSc Financial Risk Management
Part-time Year 1 AUTUMN TERM
29 September - 12 December 2014; Reading week: 3-7 November
Monday
Tuesday
6-9 pm
Wednesday
6-9pm
Portfolio
Theory
Hubbert
Wks 1-5
Portfolio
Theory
Hubbert
Wks 1-5
Room 541
Room
Mathematic
s of
Financial
Derivatives
Hubbert
Wks 7-11
Mathematic
s of
Financial
Derivatives
Hubbert
Wks 7-11
Thursday
Friday
6-9 pm
OPTION
Monetary
Economics
Driffill
(weeks 8-11)
MSc Financial Risk management
Part-time Year 1 SPRING TERM
5 January – 20 March 2015 Feb 9-13 (Reading Week)
Examinations: Portfolio Theory - 6 January
L: Lecture
Monday
C: Class
Tuesday
Wednesday
6-9pm
Thursday
Friday
6-9 pm
OPTION
OPTIONS
Advanced Topics
I (/ Asset
Management)
Schroeder
Starts week 1
Forecasting
Povala (Starts
week 1)
Room
Room
Monetary
Economics
Aksoy/Wright
(weeks 1-6)
(Starts week 1)
Room
Corporate
Finance
Nikandrova
(Starts week 1)
Room
Tuesday and Wednesday, 6-9
OPTION
Financial Markets , Banking and
Regulation
Daripa, Kapur & Sibert
(Starts week 2, runs 2-11
MSc Financial Risk Management
Part-time Year 2 AUTUMN TERM
29 September - 12 December 2014; Reading week: 3-7 November
Monday
6-7.30
Financial
Econometrics I
L:
Tuesday
6-9 pm
Wednesday
6-9pm
Thursday
6-9 pm
Friday
Market Risk
Hubbert
OPTION
Monetary
Economics
Driffill
6-9 pm
(weeks 8-11)
MSc Financial Risk Spring term
Part-time Year 2 SPRING TERM
5 January – 20 March 2015 Feb 9-13 (Reading Week)
Monday
6-9pm
Tuesday
6-9 pm
Wednesday
6-9pm
Thursday
6-9 pm
Credit Risk
Brummelhuis
OPTION
Advanced Topics
I
Asset
Management
(Starts week 1
Financial
Econometrics
II
Starts week 1
Runs 1-5, 7-11
Contemporary Runs 1-5, 7-11
Issues in
Financial
Reporting
(Management
Dept)
Room
Tuesday and Wednesday,6-9pm
OPTION
Financial Markets, Banking &
Regulation
(Starts week 2, runs 2-11
Friday
6-9 pm
OPTIONS
OPTIONS
Forecasting
Povala
(Starts week (Starts week
1)
1)
Runs 1-5, 7-11 Room
Monetary
Economics
Aksoy/Wright
(weeks 1-6)
Room
Corporate
Finance
Nikandrova/
(Starts week
1)
Room