Submitting Form...
×

Master of Finance

university icon
APU University Malaysia

Master of Finance

university icon
APU University Malaysia

Master of Finance

Qualification
Master's Degree
Duration
1 years
Intake
JanJanMayMayAugAugDecDec
English Requirement
IELTS 6.5
Offer Letter
Free
Class Type
Physical
Course Fee for International Students
Yearly Tuition fees
Year Fee
1st YearMYR 38,800
Other Fees
Description Fee
University Administrative FeesMYR 5,800
Library & Personal Bond Deposit (Refundable)MYR 1,500
Visa and InsuranceMYR 2,550

Would you like to apply to
APU University Malaysia ?

Embark on a transformative journey with APU University Malaysia Master of Finance program. Explore a myriad of invaluable insights and skills, detailed below:

What you will learn in a glance?

The Master of Finance program provides students with advanced knowledge and skills in financial management, investment analysis, and risk assessment. Core courses cover financial theory, corporate finance, and financial markets, while students also explore topics like financial modeling and risk management. Through experiential learning opportunities, students gain practical experience applying finance principles. Graduates emerge prepared for careers in finance, banking, investment management, and related fields.

Dual Degrees from APU and DMU United Kindom

Students who joined the Master of Finance program at APU University Malaysia will have the option to apply for the APU-DMU Dual Degree Scheme. Under this Scheme, students will be able to get 2 Degree Certificates and transcripts upon graduation: 1 from Asia Pacific University (APU), Malaysia, and 1 from De Montfort University (DMU), UK. please note this is optional and costs GBP 375 Per year. For more information about this Scheme (Click here)

General Requirements:

• Bachelor’s degree in related fields with a minimum CGPA of 2.75, or its equivalent qualification as accepted by the Senate.

• Bachelor’s degree in related fields with a minimum CGPA of 2.50 and not meeting a CGPA of 2.75 can be accepted, subject to a minimum of 5 years working experience in the relevant fields.

This programme comprises 10 coursework modules (including Research Methodology module) and a project. The modules are designed to provide a solid understanding of financial principles and their applications of those understanding to various aspects of the finance industry. The students are able to act autonomously in planning and implementing financial strategies which include Financial Analysis, Quantitative Methods, Investment Management and Financial Markets as well as Corporate Finance.

MODULES

  • Quantitative Methods for Decision Making
  • Securities, Futures and Options
  • Financial Regulation and Regulatory Policy
  • Financial Markets and Institutions
  • Corporate Finance
  • Financial Statement Analysis
  • Fixed Income and Equity Investment
  • International Finance
  • Investment and Portfolio Management
  • Research Methodology
  • Project
Hello!
Click one of our representatives below to chat on WhatsApp or send us an email to info@your-uni.com
Some text some message..