Finance, Investment and Risk Programme

PROGRAMME CORE INFORMATION

Programme title:

Bachelor of Science (Hons) in Finance, Investment and Risk

Final Award:

Bachelor of Science (Hons) in Finance, Investment and Risk

Interim or exit awards:

  • Certificate of Higher Education in
  • Diploma of Higher Education in

Awarding body:

Bangor University (United Kingdom)

Mode of delivery and duration:

Course Duration:

3 years (Full time mode)

Maximum duration: 5 years from the course start date

Pattern of attendance

Full-time: Monday through Saturday, 3 modules in one semester

Mode of Delivery:

This programme will be taught at MDIS Tashkent by MDIS and Bangor University approved lecturers

Programme Type:

This is a programme that is offered as an evening and day programme and can be completed in three years. The programme has eighteen modules, six in each year of the three year study. 

Location(s) at which programme is delivered: 

MDIS Tashkent Campus

Main educational aims of the programme:

  • To get a deeper understanding of finance and investment by examining business theory and practice, and policy instruments.
  • Provide participants with route forward to develop their career within the finance and investment sector and for individuals who wish to work in this area.
  • Equips participants with the ability to apply knowledge to practical problems in business with the view to enhance originality and contribution to business world.
  • Understand the ‘real world through the use of relevant data, information and varied assessment methods.

 

MODULE INFORMATION

YEAR 1 – COMMON MODULES FOR ALL BANGOR UNIVERSITY BSC SCHEMES

  1. Essentials of Economics                                        (20 credits)
  2. Accounting for Business                                        (20 credits)
  3. Business Information Systems                              (20 credits)
  4. Statistical Methods                                                (20 credits)
  5. Business Law                                                        (20 credits)
  6. Principles of Organization and Management        (20 credits)

YEAR 2

  1. Financial Accounting                                             (20 credits)
  2. Introduction to Finance                                          (20 credits)
  3. Business Research Methods                                 (20 credits)
  4. Financial Markets and Institution                           (20 credits)
  5. Corporate Finance                                                 (20 credits)
  6. Macroeconomics                                                   (20 credits)

YEAR 3

  1. International Finance                                             (20 credits)
  2. Fixed Income Analysis                                           (20 credits)
  3. Investment Management                                       (20 credits)
  4. Corporate Governance                                          (20 credits)
  5. Financial Derivatives                                             (20 credits)
  6. Wealth Management                                             (20 credits)