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出国读硕士两个专业选择Finance和Financial Analysis,请给我帮忙分析下

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楼主
发表于 2011-8-30 19:03:11 | 只看该作者 回帖奖励 |倒序浏览 |阅读模式
列下主要课程,其中我觉得前者比较正统一些,后者偏数理一些,后者是不是找工作更实用呢?我大致的规划是以后去投行或者咨询公司,请大家帮忙给点建议。
前者课程为Corporate Governance and Restructuring ,Financial Research Methods ,Corporate and Venture Finance ,Behavioural Finance ,Risk Management 。后者为Quantitative Techniques for Financial Economics ,Equity Analysis and Portfolio Management ,Open Macroeconomics: Europe and the World Economy ,Fixed Income Management ,Accounting for Financial Markets
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沙发
发表于 2011-8-30 20:40:26 | 只看该作者
后者是不是找工作更实用呢?我大致的规划是以后去投行或者咨询公司
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The 1st is for deal and 2nd for public market. But anyway they don't care, no difference between these two for them.
板凳
 楼主| 发表于 2011-8-31 16:07:14 | 只看该作者
Thanks~ By the way, though they don't care, the courses are different. Which one's courses are better for the future career? Or which one would you prefer?
地板
发表于 2011-8-31 17:54:45 | 只看该作者
ask yourself, do you prefer deal or public market?
5#
 楼主| 发表于 2011-9-1 13:56:40 | 只看该作者
Would you please give me some tips about deal and public market. I searched for a while but hardly find anything precise.
6#
发表于 2011-9-5 16:17:04 | 只看该作者
the former one foucs on management,particular on financial management, while the latter on focus on security analysis and investment. You see?
7#
 楼主| 发表于 2011-9-7 16:05:47 | 只看该作者
Thank you so much~ Now I finally understand the differences!
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