The study of Finance is concerned with understanding financial phenomena and the operational laws of finance, offering both theoretical value and practical significance. The discipline covers two main areas: macrofinance and microfinance. Macrofinance focuses on broad topics such as money supply and demand, inflation and deflation, digital currencies, financial policies, capital allocation mechanisms, financial regulation, international finance, and financial technology. Microfinance, on the other hand, examines financial institution management, corporate financing and capital operations, basic and derivative financial instruments, pricing mechanisms in financial markets, blockchain finance, and investor behavior.
Program Features
Global Perspective: Prepares students for global financial markets and international finance challenges.
Career Prospects
Graduates can pursue a wide range of career paths in banking, investment, insurance, financial regulation, and corporate finance. They will be well-equipped to work in financial institutions, government agencies, multinational corporations, fintech startups, and research organizations, contributing to the advancement of financial markets, regulatory frameworks, and investment strategies.
Starting Time:
Spring: Feb. 20-21, 2025
Autumn: Sep. 10-11, 2025
Duration:4 Years
Teaching Medium:English
Qualification Awarded:Bachelor Program
Application Deadline:
Spring: Jan. 01, 2025
Autumn: July. 14, 2025