Training Resources for:
International Finance
Total 32 record(s) available.
Master of International Finance The Master of International Finance is a specialist course which develops a professional capability in finance, with a particular emphasis on international trade and associated financial markets.
Finance professionals will be especially interested in the Master of International Finance as the coursework and research components have been designed to enhance professional practice in a range of financial domains. The course may also be attractive to others with an undergraduate degree, wanting to acquire a professional qualification in finance.
The course aims to provide a high level of education in finance issues and research methodologies appropriate to finance, and will improve professional practice in a range of finance domains.
Successful completion of the Graduate Certificate of Finance or the Graduate Diploma of International Finance allows articulation into the Master of International Finance.
A Classroom course provided by Deakin University School of Accounting, Economics and Finance in Geelong, Melbourne, Warrnambool, VIC, Australia
Graduate Diploma of International FinanceThe Graduate Diploma of International Finance is designed to provide graduates with a specialist qualification in finance.
Successful completion of the Graduate Certificate of Finance allows articulation into the Graduate Diploma of International Finance.
A Classroom course provided by Deakin University School of Accounting, Economics and Finance in Geelong, Melbourne, Warrnambool, VIC, Australia
International FinanceIssues encountered by the multinational financial manager in making financing and investment decisions within a global context. Foreign exchange markets, parity conditions, currency quotation methods, management of foreign exchange/political risk and international capital budgeting. A Classroom course provided by Sprott School of Business in Ottawa, Ontario, Canada
International FinanceInternational Finance studies international financial instruments, markets and institutions. Topics include the nature of foreign-exchange risk, determination of exchange and interest rates, management of foreign-exchange risk with forwards and options, evaluation of international investments, exchange rate forecasting, the anatomy of currency crises, and current issues in international finance. A Classroom course provided by Kellogg School of Management, Northwestern University in Evanston, Illinois, United States
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