全国统一学习专线 8:30-21:00
专业概况
在这里学什么?The MSc Risk and Finance is an interdisciplinary master's programme designed to provide a comprehensive understanding of the various facets of risk, including risk perception, management, control and regulation as encountered in a wide variety of contexts.
The success of organisations depends upon their ability to operate in the face of risk, and risk management is increasingly recognised as requiring special skills central to the functioning of the organisation. This programme addresses such questions as: What types of risks exist in various settings? What are the appropriate ways to classify, measure and assess risk? How does the organisation of enterprises, governments and markets increase, decrease or change the nature of risk? What techniques can be used to transfer risk in markets, firms or societies? The design of the programme will enable you to acquire a broad knowledge of risk management and regulation, and to deepen your competency in a chosen area of specialisation.
The programme is supported by Deutsche Bank, which contributes a high level of involvement via a series of practitioner seminars which run throughout the programme.
Teaching and learning
Courses in the programme usually have two elements, lectures and seminars. The lecture format allows for the development of core theoretical concepts, familiarisation with academic research. Seminars are conducted with smaller groups in which class teachers can have a closer relationship with individual students, which makes it easier to use alternative teaching methods such as case studies and discussions and conduct empirical exercises that enable the student to gain deeper practical understanding of the course material.
Many courses also use alternative methods of instruction and assessment. Students are often required to work in groups during their courses, in order to complete group presentations or projects. Active class participation is expected and constitutes part of the final course mark in the core course of the programme. In addition, students are expected to undertake a significant amount of reading and independent study throughout the year.
Careers
Graduate destinations
Graduates of the Department have excellent career prospects relative to their peers. Our MSc programmes prepare students for a range of careers in investment banking, consulting and the wider financial services sector, as can be seen in the Department of Finance Employment Report.
Recent graduates from this programme have gone on to work in fields such as consulting, finance and banking, insurance, management, regulation and supervision, and public administration, among others.
In addition to the internationally recognised research environment and academic rigour of its teaching programmes, a great advantage of studying at LSE is the reputation it holds amongst employers for producing high level graduates. Both the LSE Careers Service and the Department of Finance aim to help its students be as successful as possible on the job market once they graduate from the programme.
所属院系
进入哪个院系学习? Finance中国学生入学要求
为来自中国的学生设计 Students need a bachelor's degree with an overall mark of 85 per cent from a highly regarded institution in China; with all other students we would normally require a mark of at least 90 per cent. Each application is considered on an individual basis and entry requirements vary by programme.课程信息
学制:全日制(1 年)
学费:£30,960.00 (¥ 279,566) /年
开学时间:2022九月27日
申请截止日期:
留学地点:London School of Economics and Political Science, University of LondonHoughton Street,Westminster,WC2A 2AE, England
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