Skip navigation

Bachelor of Economics/Bachelor of Finance

Add Bachelor of Economics/Bachelor of Finance to my interest list

Degree Structure

Typical Full-time Program Pattern with a major in Corporate Finance and Investment Management

 

First semester

Second semester

Year 1
(48 units)

ECON1101 Microeconomics 1
STAT1008 Quantitative Research Methods
BUSN1001 Business Reporting and Analysis
FINM1001 Money, Markets and Finance

ECON1102 Macroeconomics 1
EMET1001 Foundations of Economic and Financial Models
FINM2001 Corporate Finance
Elective (6u)

Year 2
(48 units)

ECON2101 Microeconomics 2
FINM3001 Investments
STAT2008 Regression Modelling
Elective (6u)

ECON2102 Macroeconomics 2
FINM2002 Financial Instruments and Risk Management
Elective (6u)
Elective (6u)

Year 3
(48 units)

ECON3101 Microeconomics 3
EMET2007 Econometric Methods
Elective (6u)
Elective (6u)

ECON3102 Macroeconomics 3
FINM3002 International Financial Management
Elective (6u)
Elective (6u)

Year 4
(48 units)

*Finance related course (6u)
Elective (6u)
Elective (6u)
Elective (6u)

FINM3005 Corporate Valuation OR FINM3006 Fixed Income Securities
*Quantitative course (6u)
Elective (6u)
Elective (6u)


Note:

1. The Bachelor of Economics elective courses must include:

2. The Bachelor of Finance (major in Corporate Finance and Investment Management) elective courses must include:

  • *Finance related course - at least one of the following courses must be taken: MGMT3015 Corporate Strategy, ECON3006/3016 Financial Economics [(P) or (H)], BUSI2025 International Business [(P) OR (H)], ECON2102/2112 Macroeconomics 2 [(P) or (H)], ECON2026 Money and Banking.
  • *Quantitative course - at least one of the following courses must be taken: EMET3007 Business and Economic Forecasting, EMET2008 Econometric Modelling, STAT3015 Generalised Linear Modelling, STAT3011 Graphical Data Analysis.
  • Typically, the courses FINM3005 Corporate Valuation and FINM3006 Fixed Income Securities will be offered in alternate academic years.


Typical Full-time Program Pattern with a major in Quantitative Finance

 

First semester

Second semester

Year 1
(48 units)

ECON1101 Microeconomics 1
MATH1115 Mathematics and Applications 1 (H)
STAT1008 Quantitative Research Methods
FINM1001 Money, Markets and Finance

ECON1102 Macroeconomics 1
BUSN1001 Business Reporting and Analysis
STAT2001 Introductory Mathematical Statistics
FINM2001 Corporate Finance

Year 2
(48 units)

ECON2101 Microeconomics 2
STAT2008 Regression Modelling
STAT2032 Financial Mathematics
Elective (6u)

ECON2102 Macroeconomics 2
FINM2002 Financial Instruments and Risk Management
Elective (6u)
Elective (6u)

Year 3
(48 units)

ECON3101 Microeconomics 3
STAT3004 Stochastic Modelling
EMET2007 Econometric Methods
Elective (6u)

ECON3102 Macroeconomics 3
*Finance related course (6u)
Elective (6u)
Elective (6u)

Year 4
(48 units)

FINM3003 Continuous Time Finance
Elective (6u)
Elective (6u)
Elective (6u)

FINM3007 Advanced Derivatives Pricing and Applications
Elective (6u)
Elective (6u)
Elective (6u)


Note:
 
1. The Bachelor of Economics elective courses must include:

2. The Bachelor of Finance:

  • *Finance related course - at least one of the following courses must be taken: MGMT3015 Corporate Strategy, ECON3006/3016 Financial Economics [(P) or (H)], BUSI2025 International Business [(P) OR (H)], ECON2102/2112 Macroeconomics 2 [(P) or (H)], ECON2026Money and Banking.

The information published on the Study at ANU 2009 website applies to the 2009 academic year only. All information provided on this website replaces the information contained in the Study at ANU 2008 website.

Updated:   13 Nov 2015 / Responsible Officer:   The Registrar / Page Contact:   Student Business Solutions