Bachelor of Finance
Degree Structure
Typical Full-time Program Pattern with a major in Corporate Finance and Investment Management
Semester 1 Commencement
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First semester |
Second semester |
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Year 1 |
ECON1101 Microeconomics 1 |
ECON1102 Macroeconomics 1 |
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Year 2 |
FINM3001 Investments |
FINM2002 Financial Instruments and Risk Management |
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Year 3 |
FINM3005 Corporate Valuation |
FINM3008 Applied Portfolio Construction |
Semester 2 Commencement:
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First semester |
Second semester |
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Year 1 |
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EMET1001 Foundations of Economic and Financial Models FINM1001 Money, Markets and Finance BUSN1001 Business Reporting and Analysis STAT1008 Quantitative Research Methods |
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Year 2 |
ECON1101 Microeconomics 1 FINM2001 Corporate Finance STAT2008 Regression Modelling Elective (6 units) |
ECON1102 Macroeconomics 1 FINM2002 Financial Instruments and Risk Management Elective (6 units) Elective (6 units) |
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Year 3 |
FINM3001 Investments MGMT3015 Corporate Strategy Elective (6 units) Elective (6 units) |
FINM3008 Applied Portfolio Construction Elective (6 units) Elective (6 units) Elective (6 units) |
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Year 4 |
FINM3005 Corporate Valuation FINM3006 Financial Intermediation and Debt Markets Elective (6 units) Elective (6 units) |
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Typical Full-time Program Pattern with a major in Quantitative Finance
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|
First semester |
Second semester |
|
Year 1 |
ECON1101 Microeconomics 1 |
ECON1102 Macroeconomics 1 |
|
Year 2 |
FINM3001 Investments |
FINM2002 Financial Instruments and Risk Management |
|
Year 3 |
FINM3003 Continuous Time Finance |
FINM3007 Advanced Derivatives Pricing and Applications |
Note: The Quantitative Finance major is not available for students commencing in Semester 2 of each year.
The Degree with Honours
The information published on the Study at ANU 2011 website applies to the 2011 academic year only. All information provided on this website replaces the information contained in the Study at ANU 2010 website.




