Applied Econometrics and Advanced Finance
Are you a finance professional looking to progress your career pathways in quantitative finance? This double degree grows your understanding of global financial markets and investment – along with your specialist skills in financial modelling, forecasting, big data and analytics giving you a unique edge in investment banking, portfolio management, risk management and quantitative trading and research.
Over the course of this two-year double degree, you’ll advance your training in econometrics and quantitative analysis to solve finance and economic challenges. This includes building on your ability to critically analyse, solve problems and develop innovative solutions to a range of contemporary business issues – especially those that influence the finance industry.
The program will sharpen your understanding of financial markets and instruments, valuation, trading and risk management, as well as ethics, environmental and corporate social responsibility. You’ll also have the chance to explore in-depth investment banking, asset management and financial technology and sustainability.
With so much of the industry influenced by quantitative data and modelling, you’ll gain a critical edge through specialist training across in-demand econometric skills, including empirical modelling, forecasting data analysis and more. Learning from and working with global leaders in the field, you’ll complete the two-year program more capable of working with the numbers – and using them to make a positive impact in business.
Ready to take a rewarding career in finance to the next level?