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
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