Syllabus Integrations Below Are Examples of How Over 100 Universities Currently Integrate Bloomberg Into a Variety of Different Courses
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Have a syllabus or article you would like posted here? If you incorporate Bloomberg into courses at your university and would like your syllabus, whitepaper, press article or library resource page listed here, email your Bloomberg rep [email protected] for next steps. Syllabus integrations Below are examples of how over 100 universities currently integrate Bloomberg into a variety of different courses. (grouped by country) Australia Bond University FINC12-200 – Fundamentals of Finance / FINC71- 600 – Managerial Finance Queensland University of Technology EFN415 Security Analysis and Portfolio Management University of Queensland FINM 7405 – Financial Risk Management / RBUS 3904 – Integrated Commerce in Practice Belgium Vlerick Business School Advanced Corporate Finance Canada Brock University MACC 5P91 – Advanced Topics in Corporate Finance Carleton University BUSI 3502 C – Investments Concordia University FINA 410 – Investment Analysis Institute of Trading and Finance IOTAF – Institute of Trading and Finance Lakehead University BUS 4179 FA – Portfolio Management McGill University Advanced Topics in Finance Mount Royal University FNCE 4409-001 – Securities Analysis & Valuation Queen’s University MBAS 926 – Management of Financial Institutions (Part II) Canada (cont.) The University of Western Ontario BUS 4559 – Raising Capital in the Financial Markets University of Calgary FIN 449 – Trading Market Data Management University of Guelph ECON 4560 – Advanced Topics in Finance University of Manitoba FIN 3410 A01 – Investments University of New Brunswick ADM 4450/MBA 6450 – Student Investment Fund Program University of Toronto RSM 6301 – Market Risk Western University BUS 9811 - Empirical Asset Pricing Wilfrid Laurier University BU 713/BU 449 – Fixed Income Analysis / BUS 623 – Derivatives and Financial Risk Management Colombia Universidad de Bogotá Jorge Tadeo Mercado de Capitales y Portafolio de Inversión Lozano France EDHEC Business School — Nice Trading in Practice EMLV - Ecole de Management EM08CFI - Certification Bloomberg ESC Pau Multinational Business Finance INSEEC Introduction to Bloomberg Rennes Business School FI 525 E – Exchange Markets SciencesPo KEXT 2025 – Bloomberg Market Concepts Certificate Skema Business School AFM-VBA Programming Germany Frankfurt School of Finance and Financial Products & Modeling Management Germany (continued) Hochschule für Wirtschaft und Umwelt Derivatemanegement / Einführung in Finance/ Nürtingen-Geislingen Corporate Finance Greece The American College of Greece FN 4329 - Portfolio Management Hong Kong The Hong Kong University of Science and FINA 3810 – Bloomberg Market Concepts Technology Certification Hungary Corvinus University Budapest Managerial Accounting / Financial Calculations / Investments / Derivative Markets / Financial Market Risk Management India IMT Ghaziabad Equity Research and Financial Modelling Narsee Monjee Institute of Management Strategic Financial Management / International Studies Finance / Project Finance Ireland University College Dublin MIS 30150 – ICT for Strategic Decision Making Italy LUISS Asset Management Jamaica Mona School of Business & Management MGMT 3048 – Financial Management II Mexico EGADE Business School FZ5039 – Gestión de Inversiones Tecnológico de Monterrey FZ1007 – Introducción a la Carrera / FZ3017 – ANÁLISIS BURSÁTIL / FZ3009 – International Financial Management Morocco Groupe ISCAE Portfolio Management New Zealand Lincoln University FINC 211 - Investments / FINC 601 Finance Theory and Corporate Policy Pakistan Sukkur Institute of Business FIN 411 – Financial Institutions and Markets Administration Peru Pontificia Universidad Católica del Perú Mercado de Capitales Universidad de Lima 3276 – Mercado de Capitales Universidad ESAN Aplicación de Instrumentos de Bloomberg para Análisis de Mercados I Universidad San Ignacio de Loyola Finance / Financial Management / Finanzas Empresariales / Gestión Financiera I / Matemática para las Finanzas / Mercado de Capitales / Riesgos Financieos / Derivados Financieros Philippines iACADEMY FM31 – Security Analysis Russia Financial University under the Behavioral Finance and Business Valuation / Government of Russian Federation Algotrading in Bloomberg, R, and beyond Saudi Arabia King Fahd University of Petroleum & FIN 310 – Intermediate Financial Management / Minerals FIN 320 – Investments Princess Nourah bint Abdulrahman FIN 204 – Principles of Finance / Fin 310 – University Corporate Finance Assignment / FIN 311 – Bloomberg Trading Challenge / FIN 311 – Financial Markets / FIN 311 – Financial Markets Assignment / FIN 371 – Financial Derivatives / FIN 371 – Project Rubrics / Financial Derivatives / International and Portfolio Analysis / Investment and Portfolio Analysis Group Project Prince Sultan University FIN370 – Financial Markets and Commercial Banks / FIN450 – Security Analysis & Portfolio Management / FIN470 – Cases in Financial Management / FIN551 – Investment Analysis & Portfolio Management South Africa Stellenbosch University Equity Analysis and Portfolio Management / Fixed Income Securities South Korea Korea Advanced Institute of Science and FMB 552EB - Financial Databases Technology Spain Instituto de Estudios Bursátiles Prácticas de Bloomberg Switzerland Università della Svizzera italiana Financial Modeling Turkey Bahcesehir University COP4214 – Financial Analysis with Bloomberg İstanbul Bilgi University IE 481 - Financial Engineering United Arab Emirates Abu Dhabi University FIN 304 - Management of Financial Institutions / FIN 400 - Computer Applications in Finance / FIN 401 -Investment & Financial Policy / FIN 407 - International Financial Management / FIN 605 - Investment Theory & Analysis United Kingdom Cardiff Metropolitan University BAC 7009 – Wealth Management Coventry University APSLON Framework De Montfort University Leicester ACFI3307 Investments and Portfolio Management London South Bank University BAF-7-IFI – International Financial Markets Middlesex University FIN 4550 – Applied Corporate Finance Nottingham Trent University Introductory Finance for Economists Suffolk University FIN 319 – Money & Capital Markets The University of Manchester BMBA 60173 – Practical Investing University of East London FN 5004 – Corporate Finance United Kingdom (continued) York College FIN 340.101 – Financial Institutions and Markets York University MFIN 5400 – Fixed Income Securities United States Auburn University FINC 4660 – Security Analysis / FOWS 5620 & 6620 – Natural Resource Finance and Investment Babson University FIN3560 – Financial Markets & Instruments Baldwin Wallace University BUS 446/546 - Intermediate Finance Baruch College F9781 – Managerial Finance Bentley University FI 305 – Principles of Accounting and Finance Bradley University FIN 426 – Financial Research and Modelling Brigham Young University, Idaho FIN409-FIN415 Bloomberg Market Concepts Certification / ECON 255 – Financial Analytics / ECON 151 – Macroeconomics Brooklyn College FINC 3330 – Investments California State University, Sacramento FIN 136 – Modern Portfolio Management DePaul University ECO 502 – Selected Topics in Macro / FIN 330 – Investments: Theory and Practice Drexel University FIN 325 – Financial Institutions and Markets Fairleigh Dickinson University FIN 3310 – Intermediate Financial Analysis Florida International University FIN 4303 – U02 Financial Markets and Institutions Fordham University GFGB 6010: Global Financial Markets Franklin & Marshall University BOS 360 – Fundamentals of Corporate Finance United States (continued) Furman University BUS 321 – Marketing Strategy Georgia State University FI 4300-003 – Advanced Corporate Finance / FI 4210-005 – Portfolio Management Practicum High Point University FIN 3020-01 – Investment Analysis Ithaca College FINA 10301 – Fun with Investments Kenyon University ECON 345 – Futures and Options Lasell College BUSS 311.A – Investments Lehigh University FIN 323 – Investments Le Moyne University FIN 401 – Investments Long Island University, Post FIN 12-001 – Principles of Finance II Loyola University, Chicago FINC 355 – International Financial Management Loyola University, Maryland FI 380 – Fixed Income Securities Manhattan College Quantitative Finance & Economics – Sections 01- 02 / Options and Futures Markets Marist College BUS 420N111 – Investment Analysis Messiah College FINA 351 – Investments Middlebury College INTD 0317 – Introduction to Finance Midwestern State University FINC 4733-470 – Investments Millersville University BUAD 405.94 – Financial Market Concepts with Bloomberg Terminals Morgan State University FIN 446 – International Financial Management / FIN 343.101 – Managerial Finance Mount Mercy University BA 360 – Securities Analysis North Central College Economics 360 – Money and Banking Northern Arizona University Finance 331 – Introduction to Investments United States (continued) Northern Illinois University FINA 340 – Investments Northwestern University FINA 6203 – Investment Analysis Oakland University FIN 4900-43309 – Student Managed Investment Fund Old Dominion University FIN 220 – Wall Street 101 Our Lady of the Lake University FINC4350-0001 – Investment Analysis Plymouth State University BU4390 – Seminar in Finance Prairie View A&M FINA 3333 – Investment Analysis Providence College FIN 417 – Fixed Income Securities Rhode Island College FIN 301 – Managerial Finance and Control / FIN 301-20 – Managerial Finance and Control Rowan University FIN 4300.3 – Principles of Finance Rutgers University FSRM – Foundations of Financial Statistics and Risk Management