
Theory of Finance (20 credits) Econometrics 1 and Econometrics 2 (20 credits) Either Continuous-time Finance or Financial Market Microstructure (10 credits) Corporate Finance (10 credits) Financial Markets (10 credits) In addition you'll choose 30 credits of options from the below. At least 20 credits should be from Group A: Group A Development and Finance (10 credits) Financial Engineering (10 credits) Financial Risk Management (10 credits) Fixed Income Securities (10 credits) Investment and Portfolio Management (10 credits) Topics in Financial Econometrics (10 credits) Group B Advanced Macroeconomics (10 credits) Applied Microeconometrics (10 credits) Emerging Market Macroeconomics (10 credits) Experimental Economics (10 credits) Industrial Economics (10 credits) Labour Economics (10 credits) Public Finance (10 credits) Public Sector Economics: Microeconomic Applications (10 credits) Time Series (10 credits)