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Introduction to the Corporate Finance major at British universities

Introduction to Corporate Finance majors in British universities:

1. Main classifications of British financial majors:

(1) Corporate Finance

Corporate finance is the broadest and most practical area of ??finance. The more typical ones are corporate and international finance opened in Durham. Corporate finance mainly studies the company's equity structure and capital structure, which includes company listings, mergers and other related matters, and is closely related to accounting. For this reason, many schools combine finance and accounting, such as the University of Manchester, Bath, London Political Science and Economics, etc. In recent years, with the gradual refinement of corporate economic activities, many British colleges and universities have also opened some financial courses specific to certain industries, such as finance majors in the financial services industry (including banks, insurance companies, etc.), real estate industry Finance majors, etc. Typical institutions include Birmingham, Loughborough, Bristol, Reading, etc., which offer banking and finance majors; London Political Economics, Reading, etc., which offer real estate and finance majors.

(2) International financial market (international financial market) and investment (Investment science)

Domestic students will be familiar with this, but need to be reminded that when studying international financial market, they will Involves some financial derivatives, such as options, futures, etc. Schools offering investment and finance majors include Edinburgh, Durham, and Nottingham. What is particularly worth integrating here is Edinburgh’s investment and finance majors. Relying on the good cooperative relationship between the University of Edinburgh and internationally renowned investment or financial companies, this major can provide students with rare internship opportunities or research topics of practical significance, so students can truly improve their abilities during the learning process. .

2. Introduction to finance courses in the UK

Finance courses in the UK generally last for three years for undergraduates and one year for postgraduates. The content learned generally does not exceed the above two aspects. In fact, each school has different focuses. Some focus on corporate finance, while others focus on investment. Each has its own characteristics.

3. Application requirements for British finance majors:

Since the British finance major is a popular course for application, colleges and universities will be slightly stricter in admissions than other subjects. First of all, it will require applicants to have a certain understanding of the basics of economics and mathematics and be able to inject them into the study of financial subjects. Students applying for a bachelor's degree need to have good mathematics scores. Applicants for a master's degree will be very welcome if they have a background in finance, economics or accounting.

In addition, language proficiency is a criterion for measuring whether students can successfully complete their studies in the UK. Students applying for undergraduate degrees need to provide an IELTS score of 6.0, and applying for a master's degree requires a score of 6.5 or 7 or above.