Students enrolled prior to SP4 2021 will complete the Master of Applied Finance under the previous course structure:
5 Core subjects: FIN101 Financial Markets and Economic Principles FIN102 Regulation Ethics and Risk Management FIN103 Financial Analysis and Valuation FIN201 Quantitative Applications in Finance KAP001: Research Project^ 7 Elective subjects (at least 2 from 300 level): FIN202 Fundamentals of Asset Valuation FIN203 Fundamentals of Equity Markets FIN204 Fundamentals of Risk FIN205 Business Valuation FIN206 Investment Management FIN219 Operational Risk Management* FIN231 Technical Analysis FIN251 Fixed Income Securities FIN280 Financial Modelling FIN290 Business Valuation Application FIN306 Applied Portfolio Management FIN322 Industrial Equity Analysis FIN327 Applied Resource Sector Analysis** FIN328 Real Estate Analysis Funding FIN330 Mergers and Acquisitions FIN331 Specialised Techniques in Technical Analysis* FIN338 Project Finance FIN342 Applied Corporate Finance FIN343 Market Risk Management* FIN344 Credit Risk Management* FIN351 The Derivatives Market *Discontinued from Study Period 4, 2021 ** Name change in Study Period 5 2021, previously FIN327 Natural Resource Sector Analysis ^It is recommended this subject is studied as the final subject in your Masters program. Single subject study is also available. Click here for full subject availability. Find out more For more information regarding the Master of Applied Finance, please visit our Current Students page.
Students enrolled prior to SP4 2021 will complete the Master of Applied Finance under the previous course structure:
5 Core subjects: FIN101 Financial Markets and Economic Principles FIN102 Regulation Ethics and Risk Management FIN103 Financial Analysis and Valuation FIN201 Quantitative Applications in Finance KAP001: Research Project^ 7 Elective subjects (at least 2 from 300 level): FIN202 Fundamentals of Asset Valuation FIN203 Fundamentals of Equity Markets FIN204 Fundamentals of Risk FIN205 Business Valuation FIN206 Investment Management FIN219 Operational Risk Management* FIN231 Technical Analysis FIN251 Fixed Income Securities FIN280 Financial Modelling FIN290 Business Valuation Application FIN306 Applied Portfolio Management FIN322 Industrial Equity Analysis FIN327 Applied Resource Sector Analysis** FIN328 Real Estate Analysis Funding FIN330 Mergers and Acquisitions FIN331 Specialised Techniques in Technical Analysis* FIN338 Project Finance FIN342 Applied Corporate Finance FIN343 Market Risk Management* FIN344 Credit Risk Management* FIN351 The Derivatives Market *Discontinued from Study Period 4, 2021 ** Name change in Study Period 5 2021, previously FIN327 Natural Resource Sector Analysis ^It is recommended this subject is studied as the final subject in your Masters program. Single subject study is also available. Click here for full subject availability. Find out more For more information regarding the Master of Applied Finance, please visit our Current Students page.