The return to Oxford for the second Finance module opens with a largely quantitative exam based on June's four day tuition programme. We have been well primed on what to expect. The September course, Finance Ⅱ, takes a more qualitative approach and looks at the strategic implications of corporate financing decisions. For most of us this is at the core of a financial strategy course, and we are glad to re-examine ideas, mostly familiar, with proper analytical rigor.
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