• Candidates will study the theory and practice of financial management and gain an understanding of the global financial system.
  • Additionally, competing approaches to corporate governance and business ethics will be developed, and the Candidate will learn how to provide protection against portfolio, financial and corporate risks.
  • Students are provided with realistic stock market simulations and are introduced to modern portfolio theory and practice with a focus on optimal investment decision-making.
  • Candidates will experience the pressure of live markets and learn how to manage portfolios through a portfolio simulation that allows candidates to trade shares, options, bonds, managed funds, and international stocks with realistic stock market simulations.