| Full-time Bachelor of Science (Honours) in Investment Science (Programme Code: 63023) |
| 投 資 科 學 (榮譽) 理 學 士 學 位 |
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| Curriculum and Professional Examinations |
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| Key: |
C = Compulsory |
CA = Continuous Assessment |
E =Elective |
EXAM= Examination |
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| |
Code |
Subject Title |
C/E |
Assessment
CA: EXAM(%) |
Pre-requisite (P)/
Co-requisite (Co)/
Exclusion (Ex) |
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| |
ELECTIVES |
AF3317 |
Risk Management |
E |
50:50 |
P: AMA2101 or
AMA263 or
AMA2631 and AF3313 |
AF4317 |
Derivative Securities |
E |
50:50 |
P: AF3313 |
AF4323 |
International Finance |
E |
45:55 |
P: AF3313 |
AMA264 |
Survey Sampling |
E |
40:60 |
Nil |
AMA362 |
Further Statistical Methods |
E |
40:60 |
P: AMA237 or AMA261 or AMA269 or AMA2691 |
AMA463 |
Loss Models |
E |
40:60 |
P: AMA364 |
AMA466 |
Multivariate Statistical Methods |
E |
40:60 |
P: AMA263 or AMA2631 |
AMA470 |
Credibility Theory |
E |
40:60 |
P: AMA364 |
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| Equivalent subjects may be accepted in considering Pre-requisite/Co-requisite requirement for all the above subjects. |