The Master degree in Finance (touch program track) aims to equip students with broad, and in-depth knowledge in specific fields of corporate financial management, financial investment, and financial risk management. Besides general courses, depending on the student’s choice of track-specific courses, the program deals with in-depth specializations in the field of finance, prepares the student for managerial positions in corporations, conglomerates, multinational companies, financial institutions, insurance companies, etc.
The Master degree in Finance helps the students achieve in-depth understanding of relevent economic and financial theories, the skills to apply specialized knowledge to real life, where the final market is constantly changing, and hence improving thinking skills, awareness of global issues and using the acquired knowledge and skills to address them. Depending on the choice of knowledge block, in particular corporate finance, financial investment or financial risk management, the students will be able to utilize the relevant knowledge in organization, analysis and decision making in the context of their workplace.
I. General knowledge | 8 | |||
| Philosophy | 4 |
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| Foreign language | 4 |
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II. Fundamental knowledge and compulsory subjects | 21 | |||
| Financial Economics | 3 |
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| Corporate Finance | 3 |
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| International Finance | 3 |
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| Financial Risk Management | 3 |
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| Investments | 3 |
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| Research Methodology in Finance | 3 |
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| Financial Econometrics | 3 |
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Elective subjects | 18 | |||
| Financial analysis | 3 |
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| Corporate valuation | 3 |
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| Mergers & Acquisitions, Divestment | 3 |
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| Behavioural Finance | 3 |
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| Entrepreneurial Finance | 3 |
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| Quantitative Finance | 3 |
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| Derivatives | 3 |
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| Risk Analysis & Modelling | 3 |
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| Advanced Financial Risk Management | 3 |
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| Implementing Enterprise Risk Management | 3 |
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| International Financial Regulation | 3 |
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| Current Issues in Risk Management Practice | 3 |
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| Fixed Income Assets | 3 |
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| Valuation, IPO and M&A | 3 |
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| Portfolio Management | 3 |
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Internship and Graduation | 13 | |||
| Thematic report | 6 |
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| Project | 7 |
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Total | 60 |
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Master students who graduate from Finance program achieve the following outcomes:
Knowledge
Skills
Autonomy and Responsibility
In addition to the above output standards, graduates achieve foreign language ability level 4/6 of Vietnam’s Foreign Language Competency Framework.
Organization | Position | Job description |
Domestic and foreign corporations and financial institutions. | CFO, associate financial managers/director, corporate financial advisor | Financial management in corporations and financial institutions |
Financial institutions such as banks, security companies, invesment funds, insurance companies, corporations, investment companies, etc. | Director, investment specialist, investment manager, portfolio manager, mergers and acquisitions
| Provide consultation and make decisions related to financial investments for investment committees in professional investment organizations |
Financial institutions such as banks, security companies, invesment funds, insurance companies, etc. | Risk management specialist director/manager. | Provide consultation and manage financial risks in both banking and non-banking institutions. |
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