Financial and Commodity Market Analysis

The programme structure for the Master of Science in Economics with a specialization in Financial and Commodity Market Analysis starting in 2020 follows the 50-40-30 ECTS plan.

Financial and Commodity Market Analysis

Study plan for the specialization in Financial and Commodity Market Analysis: 

Year 1:

August block: 
ECN302 Mathematics for Economists, 5 ECTS

Autumn parallell: 
ECN311 Microeconomics, 10 ECTS  
ECN306 Economics of Sustainability, 5 ECTS 
BUS322 Investment Analysis and Financial Risk Management, 10 ECTS  

January block:
BUS360 Taxes, Inequality and Sustainability I, 5 ECTS 

Spring parallell:
ECN301 Econometric methods, 10 ECTS - ECN201 Econometrics or the equivalent is a prerequisite for ECN301 and should be taken before ECN301.
BUS323 Commodity Market Analysis, 10 ECTS
Electives, 5 ECTS*

 

Year 2: 

August block: 
ECN320 Macroeconomics III, 5 ECTS  

Autumn parallell: 
ECN305 Research Methods in Economics, 5 ECTS 
ECN303 Impact Assessment Methods, 5 ECTS 
Electives, 15 ECTS*

January block and Spring parallell: 
M30-ECON Master's thesis, 30 ECTS

 

*The following courses are recommended electives: 
• BUS325 Fixed Income Instruments, 10 ECTS (The course will not be offered in the academic year of 2020/2021, but will be offered in the Autumn semester of 2021) 
• ECN280 Energy Economics, 10 ECTS (Spring) 
• ECN230 International Economics, 10 ECTS (Autumn)

 

 

 

Published 3. April 2020 - 13:04 - Updated 21. April 2020 - 9:51