The Graduate Diploma in Finance and Investment aims to:
Upon successful completion of the programme, you will gain a firm understanding of the key financial concepts, and will be able to construct, evaluate, financial products and services available in the industry. Some of the learning outcomes would be:
In addition, you will be able to evaluate the potential risks and performance for day-to-day review of your investment portfolios and developed a comprehensive investment strategy and systematic risk management system for your portfolio.
This Graduate Diploma comprises of 4 modules and is structured around the work commitments and priorities of working professionals. The details of the modules can be found below.
Provides you with the analytical skills and techniques required to actively manage diversified portfolios of securities and asset class.
Equip participants with a strong analytical skill set with regards to the effective management of the various aspect of risk management.
Cover essential international finance theories and institutional settings.
The Use of Statistics in Making Investment Decisions is a critical component as you will learn the analytics techniques use by professional institution to evaluate and determine the value of different asset classes.
The classes would be held at 4 weekend blocks of 2 full day classes.
|9am to 5pm||9am to 5pm|
After studying this Graduate Diploma, you would be able to have a chance to pursue a rewarding career as a (but not limited to):
Participants are expected to contribute to the class learning experiences in a cohort and peer learning environment. You will be assessed based on experience, aptitude, potential and managerial skills.
Please download the brochure or enquire at 6822 2050 for more information.
If you have any questions, do not hesitate to contact us at 6822 2050.