Coventry University
Coventry University

GLOBAL FINANACIAL TRADING MSc

Coventry University, United Kingdom

Course Overview

A Master of Science in Global Financial Trading is designed to equip students with the knowledge and skills needed to understand and navigate the complexities of global financial markets. The program typically combines theoretical concepts with practical applications, preparing students for careers in trading, portfolio management, risk analysis, and financial consulting.

Course Type
PG
Course Nature
Full Time
Course Duration
1 Year
Total Fee
£16600
Intake
Language Proficiency

  • DEGREE
  • IELTS

Documents Required
  • 10TH
  • 12TH
  • DEGREE
  • DEGREE PROVISSIONAL CERTIFICATE
  • Degree Consolidated Marksheet
  • Degree Individual Marksheet
  • PASSPORT
  • LOR 1
  • LOR 2
  • MOI
  • CV
  • SOP
University
Coventry University
University Details

Coventry institution is a prestigious public research institution in Coventry, England. The institution, which was founded in 1843, now has over 30,000 students from all over the world. Coventry University has campuses in five different cities, including London and Scarborough. The university's Coventry Campus is organised into four faculties, with over 300 programmes available at various academic levels.

Syllabus
  1. Financial Markets and Instruments:

    • Overview of global financial markets
    • Study of various financial instruments (equities, bonds, derivatives)
    • Market structures and regulatory frameworks
  2. Quantitative Methods for Finance:

    • Statistical analysis and modeling
    • Time series analysis
    • Risk management models
  3. Algorithmic Trading and High-Frequency Trading:

    • Introduction to algorithmic trading strategies
    • Development and implementation of trading algorithms
    • Risks and challenges in high-frequency trading
  4. Global Macro-Economics and Finance:

    • Understanding global economic indicators
    • Impact of geopolitical events on financial markets
    • Macroeconomic policy and its influence on trading decisions
  5. Risk Management in Financial Markets:

    • Identification and measurement of financial risks
    • Hedging strategies
    • Stress testing and scenario analysis
  6. Financial Regulation and Compliance:

    • Overview of financial regulations globally
    • Compliance requirements for financial institutions
    • Ethical considerations in financial trading
  7. Derivatives Trading:

    • Options and futures markets
    • Hedging and speculative strategies using derivatives
    • Pricing models for derivative securities
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