Postgraduate Units offered by the Department of Applied Finance and Actuarial Studies
A
- ACST - Actuarial Studies
- ACST815 - Superannuation
- ACST816 - Quantitative Asset and Liability Modelling 1
- ACST817 - Quantitative Asset and Liability Modelling 2
- ACST818 - Survival Models
- ACST819 - Actuarial Modelling
- ACST828 - Options, Futures and Derivatives
- ACST829 - Capital Budgeting and Financial Modelling
- ACST831 - Actuarial Control Cycle 1
- ACST832 - Actuarial Control Cycle 2
- ACST833 - Insurance
- ACST834 - Financial Institutions Management and Regulation
- ACST851 - Mathematics of Finance
- ACST852 - Finance and Financial Reporting
- ACST859 - Contingent Payments 1
- ACST860 - Contingent Payments 2
- ACST861 - Mathematical Theory of Risk
- ACST862 - General Insurance Pricing and Reserving
- ACST865 - Quantitative Methods in Risk Management
- ACST871 - Investment Management
- ACST872 - Quantitative Techniques in Debt and Equity Investment Management
- ACST873 - Financial Derivatives Management
- AFAS - Applied Finance and Actuarial Studies
- AFIN - Applied Finance and Actuarial Studies
- AFIN805 - Research Methodology in Finance
- AFIN806 - Risk Management and Derivatives
- AFIN808 - Corporate Finance
- AFIN818 - Investments
- AFIN828 - International Investment and Risk
- AFIN832 - Business and Financial Analysis
- AFIN837 - Capital Markets
- AFIN838 - Business Valuation
- AFIN839 - Portfolio Management
- AFIN840 - Personal Financial Planning
- AFIN858 - Financial Management and Policy
- AFIN867 - International Financial Management
- AFIN875 - Investing in Emerging Markets
- AFIN876 - Islamic Banking and Finance
- AFIN890 - Corporate Financial Forecasting
E
- ECFS - Economic and Financial Studies
- ECFS842 - Mergers and Acquisitions
- ECFS845 - Applied Portfolio Management
- ECFS848 - Management of Financial Institutions
- ECFS849 - Individual Research Paper
- ECFS850 - Corporate Treasury Management
- ECFS865 - Investments
- ECFS866 - Corporate Finance
- ECFS867 - Financial Instruments
- ECFS868 - Financial Risk Management
- ECFS871 - Risk and Portfolio Construction
- ECFS874 - Legal Risk in Finance
- ECFS877 - Project Finance
- ECFS879 - Balance Sheet Management
- ECFS880 - Infrastructure and Property
- ECFS881 - Derivatives Valuation
- ECFS882 - Exotic Options
- ECFS886 - Debt Capital Markets
- ECFS888 - Economics of Financial Markets
- ECFS895 - Private Equity Investment
- ECFS896 - Credit Portfolio Management
- ECFS899 - Modelling Market Risk
- ECFS900 - Project Analysis and Evaluation
- ECFS901 - Managing Operational Risk
- ECFS902 - Resources Industry Investment Analysis
- ECFS903 - Ethical Risk in Finance
- ECFS906 - Private Wealth Management
- ECFS907 - Special Topics in Applied Finance
- ECFS908 - Interest Rate Portfolio Management
- ECFS909 - Carbon Finance
- ECFS991 - Equity Capital Markets
- ECFS992 - Hedge Funds
F
- FREG - Applied Finance and Actuarial Studies
- FREG800 - Financial Analysis
- FREG801 - Financial Law
- FREG802 - Financial Institutions
- FREG803 - Financial Markets
- FREG804 - Risk Measurement and Management
- FREG805 - Foundations of Regulation
- FREG806 - Foundations of Supervision
- FREG807 - The Global Financial Crisis
- FREG850 - Special Topics A: Licensing and Governance
- FREG851 - Special Topics B: AML, CTF, ETS and Regulatory Enforcement
- FREG852 - Special Topics C: Investments, Derivatives and Structured Products
- FREG855 - Banking A: Supervising Market and Credit Risks
- FREG860 - Insurance A: Solvency and Reinsurance
- FREG865 - Securities A: Regulating Collective Investments and Financial Fraud
- FREG870 - Pensions A: Designing and Supervising Pension Schemes
