So here's my dilemma... I've failed 4 subjects during my first year, quit WoW, and have turned over a new leaf (and major) since and have been doing quite well.
Next semester is my final sem, i double major in Financial Econs and Finance. I overloaded this semester and need to overload next semester to graduate at the end of this year (which i hope and pray for) and since I'm going to overload next sem, I'm hoping that I can pick the easier subjects.
This is the list that I have.
econs:
ECON2207 Econometric Methods (6 UOC)
ECON3114 Super and Retirement Benefits (6 UOC)
fins:
FINS3623 Small Business Finance (6 UOC)
FINS3625 Applied Corporate Finance (6 UOC)
FINS3635 Options, Futures&Risk Mgmt (6 UOC)
FINS3636 Interest Rate Risk Management (6 UOC)
FINS3640 Investment Mgmt Modeling (6 UOC)
FINS3641 Security Analysis & Valuation (6 UOC)
FINS3655 Behavioural Finance (6 UOC) - last i checked was full next sem
FINS3775 Research Methods in Finance 1 (6 UOC)
Because I am a 2007 intake student, my plan follows 2007 and I have subjects that can be counted for either Financial Economics or Finance (but not both) and therefore for this last subject, whether it is an ECON subject or FINS, i can still be eligible to graduate with double major in Financial Econs and Finance.
So, any advice on which subject i should take from the list above? I only need one more, I've picked fins3630 and fins2643 already
Next semester is my final sem, i double major in Financial Econs and Finance. I overloaded this semester and need to overload next semester to graduate at the end of this year (which i hope and pray for) and since I'm going to overload next sem, I'm hoping that I can pick the easier subjects.
This is the list that I have.
econs:
ECON2207 Econometric Methods (6 UOC)
ECON3114 Super and Retirement Benefits (6 UOC)
fins:
FINS3623 Small Business Finance (6 UOC)
FINS3625 Applied Corporate Finance (6 UOC)
FINS3635 Options, Futures&Risk Mgmt (6 UOC)
FINS3636 Interest Rate Risk Management (6 UOC)
FINS3640 Investment Mgmt Modeling (6 UOC)
FINS3641 Security Analysis & Valuation (6 UOC)
FINS3655 Behavioural Finance (6 UOC) - last i checked was full next sem
FINS3775 Research Methods in Finance 1 (6 UOC)
Because I am a 2007 intake student, my plan follows 2007 and I have subjects that can be counted for either Financial Economics or Finance (but not both) and therefore for this last subject, whether it is an ECON subject or FINS, i can still be eligible to graduate with double major in Financial Econs and Finance.
So, any advice on which subject i should take from the list above? I only need one more, I've picked fins3630 and fins2643 already