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Finance

Description

Duration: 2 years

Language of instruction: English

Advantages:

Master’s degree programme in Finance positions students well to obtain the Chartered Financial Analyst® (CFA) designation, the most respected and recognized investment credential globally. Additionally, the programme integrates the content of the certified GARP Financial Risk Manager (FRM®) programme.

The FRM certification is awarded to professionals who demonstrate the knowledge and ability to anticipate, react, and adapt to the challenges in risk management. The curriculum combines rigorous academic content with current industry practices, preparing graduates to become highly demanded professionals in their field.

Learning outcomes:

  • demonstrate leadership, professional ethics and effective teamwork;
  • demonstrate proficient command of English, both writing and verbal, and presentation skills;
  • be committed to high standards of research ethics and academic integrity;
  • independently conduct applied research of appropriate novelty and quality;
  • find and deliver insights based on research to relevant stakeholders;
  • articulate professional judgments based on existing and original information;
  • apply analytical skills to diagnose, evaluate and solve problems in finance to develop recommendations;
  • develop and polish solid risk management competences;
  • critically assess the risk management process and identify problems and challenges that can arise in the risk management process;
  • distinguish and apply tools and procedures used to measure and manage risk, including quantitative measures, qualitative assessment, and enterprise risk management;
  • explain the need for high ethical standards in the investment industry and the ethical responsibilities required by the CFA Institute Code of Ethics and standards of Professional Conduct and GARP with respect to risk management practices;
  • establish and develop a strong culture of risk awareness within in their organizations;
  • demonstrate solid knowledge and practical skills of estimating and interpreting econometric models for finance;
  • operate theoretical knowledge and practical modeling and coding skills to handle data and conduct econometric research;
  • articulate knowledge and skills in understanding of the general legal framework, and of specific legal areas relating to business world, and the legal implications of business activities;
  • assess key characteristics of a wide range of financial products and its valuation and investment management strategies.

Programme structure

— Required courses —

Course Title ECTS
Foreign Language (Professional) 4
Management Psychology 4
History and Philosophy of Science 2
Higher School Pedagogy 2
Research Methods I 5
Financial Econometrics I 5
Financial Econometrics II 5
Financial Risk Management 5
Teaching Practice 5
Research Practice 5
Scientific Research Project 24
Dissertation Defense 12
Total 78

— Elective courses —

Course Title ECTS
Advanced Corporate Finance 5
Valuation 5
Securities and Derivatives 5
Operational Risk Management 5
Credit Risk Management 5
Investment Management 5
Portfolio Management 5
Fixed Income Securities 5
Financial Statement Analysis 5
Professional Ethics 5
Advanced Topics in Finance 5
Refinitiv Workspace Certification 2
Minors

Accreditations

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Finance
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Нарикбаев Талгат Максутович
Председатель Правления АО «Университет КАЗГЮУ имени М.С. Нарикбаева»
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