
Compulsory modules Financial Markets Quantitative Methods for Finance Securities, Futures and Options Fixed Income and Equity Investments Compulsory modules Market Risk 20 Financial Instruments 20 Credit Risk 20 Optional modules Students on the 9-month (12-month) programme can select 40 (20) credits from the following modules: Portfolio Management 20 Financial Econometrics 20 Research Project 20 Fixed Income Cash and Derivative Markets 20 Bond Market Pricing and Trading Strategies 20 Commodity Derivatives 10 Occupational Pensions 20 Topics in Financial Regulation 20 Liquidity Risk and Algorithmic Trading 20 Behavioural Finance 20 Stock Index Futures 10