Program and Duration: Finance, 4 years
Degree Award: Bachelor of Economics
Subject Requirements for Admission: No specific subject requirements
Admission Method: 40 students are directly admitted through the college entrance examination, and another 10 students are selected from freshmen of the School of Economics in a secondary selection. Students are divided into two teaching classes for integrated learning in the first academic year; starting from the second academic year, they are divided into two tracks based on their voluntary applications and academic performance: the Investment Science International Integration Class and the Financial Risk Management Class.
Program Features:
Investment Science International Integration Class:
A separate training plan is formulated, aligned with the Investment major at the Wharton School of the University of Pennsylvania (USA). Core courses use original English textbooks and are taught in full English or bilingual (Chinese-English) mode, providing significant advantages for applying for overseas further education.
Focuses on "grand investment" to cultivate elite and international investment management talents.
Among the 2024 graduates, 56% received offers for further studies from domestic and foreign universities.
Financial Risk Management Class
A separate training plan is formulated, adopting an industry-education integration talent cultivation model. The first three years focus on public basic courses and professional basic theory courses; starting from the fourth year, students enter internship units to study practical skill courses (5 courses, 11 credits), cultivating solid theoretical foundations and excellent professional skills.
Establishes an industry-education integration alliance with representative financial enterprises in Shenzhen to co-construct practical skill courses.
Integrates internships with employment to enhance employment quality.
Career Prospects:
The talent cultivation of Finance (Innovation Class) is based in Shenzhen, serving the demand for investment and financial risk management talents in the construction of the Guangdong-Hong Kong-Macau Greater Bay Area and Shenzhen Pilot Demonstration Zone. Graduates can find employment in financial institutions such as securities companies, banks, insurance companies, asset management companies, and funds, financial regulatory authorities, as well as investment and risk management departments of large enterprises.
Core Courses:
Microeconomics, Macroeconomics, Statistics, Financial Accounting, Investment Management, Fixed Income Securities, Financial Derivatives, Risk Management of Financial Institutions, Insurance Principles, Life Insurance, Property and Liability Insurance, Corporate Valuation, Financing and Mergers & Acquisitions.