MS Brochure 2020/21 MASTER-MA-Brochure-2019-20-single | Page 31
Finance “Misbehaving”
Prospect Theory
Cognitive & Emotional Shortcuts & Errors
Rationality, Market Efficiency & the Asset Pricing
Dilemma
Biases in Corporate Valuation
Winners vs. Losers
Value vs. Values
Mergers & Acquisitions: A Behavioral Perspective
Fintech Blockchain
Cryptocurrencies & ICOs
Cashless Payments
Fintech Investing
Hot Topics in Fintech
Portfolio Management Portfolio Mix
Risk vs. Return
Investment Advice
Portfolio Returns
Dynamic Hedging with Derivatives
Asset & Risk Management
Insurance & Financial Derivatives
Pricing & Performance Models
Capstone Experience Design Thinking
Platform Design & Research
Data & Agility
Value Propositions
Innovation & Disruption
Strategic Futures
Disruptive Technology Team Challenge
You’ll study your core courses at your home campus Fall through Spring before moving on to take electives at any Hult campus across the globe in Summer.
Note: Course titles and sequencing are subject to change.
Behavioral Finance Balance Sheets, Income Statement & Cash Flow
Institutions & Regulations
Assets & Liabilities
Earnings Management
Credit Analysis
Consolidated & Restated Financial Statements
Computing WACC
Financial Reporting & Analysis The Banking System & Money Creation Process
The Shadow Banking System
Central Banks & Monetary Policy
The Stock Market
Asymmetry in Global Financial Markets
Domestic & International Financial Regulation
Aggregate Demand & Supply
Foreign Exchange Markets
Macroeconomic Analysis
Global Financial Markets