Semester One COMPULSORY MANG6182Credit[?]: 15 Principles of Risk Management MANG6239Credit[?]: 15 Behavioural Finance MANG6295Credit[?]: 15 Introduction to Finance OPTIONAL MANG6003Credit[?]: 15 Quantitative Methods MANG6049Credit[?]: 7.5 Problem Structuring MANG6091Credit[?]: 7.5 Business Ethics MANG6122Credit[?]: 15 Simulation MANG6181Credit[?]: 7.5 Corporate Risk Management Processes MANG6221Credit[?]: 15 Stock Market Analysis Semester Two All Option modules are offered subject to availability and timetabling constraints. MANG6095 Dissertation supervision starts in Semester 2 and should be submitted in September. COMPULSORY MANG6129Credit[?]: 15 Quantitative and Qualitative Research (DDAR) MANG6134Credit[?]: 15 Risk Taking and Decision Making MANG6298Credit[?]: 15 Management of Financial Risk CORE [?] MANG6095Credit[?]: 60 Dissertation OPTIONAL MANG6054Credit[?]: 7.5 Credit Scoring and Data Mining MANG6071Credit[?]: 7.5 Insurance MANG6143Credit[?]: 15 Project Risk Management MANG6296Credit[?]: 15 Advanced Corporate Finance
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