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PhD International Finance Programme Overview

                                                                                                                            

1. PROGRAMME OVERVIEW

1.1 Synopsis

PhD in International Finance is aimed at producing graduates who are well-versed in the theories and practices of international finance via providing comprehensive education and rigorous training covering from a low level of concept to a high level of synthesis and evaluation, which in turn will produce balanced and skilful scholars in the area. The programme is available on part time and full time basis.

1.2 Objectives

  1. To nurture graduates who will contribute to the advancement of new knowledge/ value added knowledge
  2. To enhance theories in International Finance to various areas covering both domestic and international perspectives
  3. To enhance theories and practices of International Finance where global and local financial transactions are brought into play
  4. To meet the global and local (GLOCAL) demand of experts in International Finance where human governance (HG) matters

1.3 Programme Description

This programme is solely conducted on a research basis. The areas of the study are as follows but not limited to:

    -International Financial Market

    -International Investment

    -International Mutual Fund

    -International Financial Modelling

    -International Corporate Finance

    -Private Banking

    -Risk Management for Financial Institutions

    -Corporate Governance

    -Finance and Accounting

    -International FOREX

    -International Gold Investment

    -Property Investment

    -International Financial Institutions Efficiency

    -Econometrics

    -International Financial Mathematics

    -International Stock Market

    -International Wealth Management

    -International Accounting Practices