Master
Graduate Institute of Finance
The Graduate Institute of Finance provides two-year full-time study for master degree. Master students must complete a minimum of 42 credits, and a master’s thesis. Before graduation, the students must pass the English test. They must gain at least 79 points on TOEFL IBT Test or 780 points on TOEIC test.
The Graduate Institute of Finance comprises three divisions: the Division of Finance, Division of Financial Engineering, and the Division of Risk Management and Insurance. The goal of each division is to foster the master students with professional knowledge in finance. In order to respond to both the development of theoretical framework and practice, our graduate program constantly offers the advanced courses to our students. Further, we aim to cultivate professionals, who are good at theoretical knowledge and practice as well, and we encourage our students to employ their knowledge, to improve the efficiency of financial operations, and accelerate the economic growth in Taiwan.
Program of Study: Master
The Graduate Institute of Finance offers a two-to-four-year program leading to the degree of Master of Business Administration. A minimum of 45 credits of coursework plus a master's thesis are required for the MBA program.
Courses are generally ified into four categories as follow:
Core Courses ( 6 credits ) |
|
Subject |
Credits |
Investment Management Quantitative Analysis |
3 3 |
Required Courses ( 15 credits ) |
|
Subject |
Credits |
Financial Institutions and Markets Finance Theory Macroeconomic Analysis * Managerial Economics * Marketing Management * Multinational Business Management * Management Accounting * Strategic Management * Information Management * Organizational Behavior * ( * select 3 courses ) |
3 3 3 3 3 3 3 3 3 3 |
Selective Courses ( 24 credits ) |
|
Subject |
Credits |
Security Market Microstructure Topics on Financial Institutions Fixed Income Securities and Derivatives Futures and Options Markets Financial Innovations Game Theory with Applications to Marketing and Finance (Ⅰ) Game Theory with Applications to Marketing and Finance (Ⅱ) Stochastic Process Seminar on Investment Banking Macro Finance Seminar on Structure Finance Financial Institution Study and China Seminar on Insurance Topic (Ⅰ) Seminar on Insurance Topic (Ⅱ) Seminar In Corporate Finance Applied Time Series Analysis Principles of Financial Computing Stochastic Calculus Continuous-time Finance Theory of Insurance Finance Risk Management Seminar in Credit Risk Case Study of Financial Management Financial Ethics and Social Responsibility Financial Regulations Introduction to Asset Securitization Financial Markets in China Nonparametric Statistics Games in Finance Merger and Acquisition International Financial Management The Practice of FHC Management Derivatives Trading Algorithmic Trading Strategies, Arbitrage and HFT English Oral Training The Seminar on Civil and Commercial Laws (I) The Seminar on Civil and Commercial Laws (Ⅱ) |
3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 1 1 |