The program is best suitable for students who wish to gain advanced financial skills and knowledge, while also enhancing their career prospects Students will have full understanding of financial theory, including its most recent developments Students will be able to design and develop coherent, relevant and appropriate research questions Graduates will have mastery of the statistical, computing and mathematical techniques required to conduct analyses of financial instruments and markets The curriculum of the program includes subjects like Advanced Corporate Finance, Studies in Capital Markets, Mathematical Finance, Advanced Empirical Finance, Financial Risk Management etc.

