DIPLOMA IN FINANCE

UNIVERSITY COURSES

MPU 21022 Penghayatan Etika dan Peradaban
MPU 23012 Akidah & Akhlak
MPU 23022 Moral & Etika I (Pelajar Bukan Islam)
MPU 23032 Fiqh Ibadat
MPU 23042 Perbandingan Agama I (Pelajar Bukan Islam)
MPU 23052 Tajwid al-Quran
MPU 23062 Etiket Sosial & Penampilan Diri
PBD 10102 Fundamental English I
PBD 10202 Fundamental English Ii

FACULTY CORE COURSES

MSD 10603 Fundamentals of Information Technology
MSD 10903 Financial Mathematics
MSD 20803 Management of Organization
MSD 20903 Business Statistics
MSD 22003 Ethics and Governance
ACD 11503 Accounting for Business
ECD 20203 Financial Economics
ECD 10113 Introduction to Economics

specialization courses

FBB 21003 Financial Risk Management
FBB 21103 Entrepreneurial Finance
FBB 21303 Ethics and Financial Market
FBB 21403 Real Estate Finance
FBB 21503 Fixed Income Securities
FBD 20303 Personal Financial Planning
FBD 20403 Business Law
FBK 20103 Financial Markets and Institutions
FBK 20203 Financial Management
FBK 20303 Financial Statement Analysis
FBK 20503 Investment
FBK 21003 Communication and Counselling
FBK 21303 Retirement Planning
FBK 21603 Estate Planning
FBK 21703 Portfolio Management
FBK 21803 Insurance Planning
FBK 21903 Tax Planning

COURSE SYNOPSIS

ECD 20203 Financial Economics

A simple Introduction offers an accessible guide to the central ideas and methods of financial economics, with examples and calculations, empirical evidence, and over 20 diagrams to support the analysis. Understand consumption and investment decisions, inter-temporal choice, indifference curves and the marginal rate of substitution, production possibilities and the marginal rate of transformation, rates of return, the financial market line, borrowing and lending, and the Fisher Separation Theorem. Portfolio theory examines expected returns, standard deviation and variance risk, covariance, correlation, asset diversification, market portfolio, a risk-free asset, the capital market line, and the Tobin Separation Theorem. The capital asset pricing model (CAPM) explores diversifiable and non-diversifiable risk, the beta risk factor, calculation of an asset’s expected return, the security market line, asset evaluation, and empirical evidence on the CAPM. Market efficiency looks at the efficient market hypothesis (EMH), weak, semi-strong, and strong form efficiency, and the literature on technical and fundamental analysis strategies to beat the market.

FBK 21303 Retirement Planning

This course emphasizes the important aspects of effective financial planning for retirement. The student should be able to understand the goal of retirement, retirement income and strategies as well as the process for retirement planning. The student should be able to understand the retirement process in determining the capital requirements for retirement. This course also highlights the differences between various retirement models.

duration

2 years (4 normal semesters dan 2 short semesters) (FULL TIME)

ENTRY REQUIREMENTS

1. Mendapat sekurang-kurangnya Gred C mata pelajaran berikut pada peringkat SPM:
 Mathematics
 Bahasa Inggeris

DAN

2. Mendapat sekurang-kurangnya Gred C SATU (1) daripada mata pelajaran berikut pada peringkat SPM:
 Pendidikan Islam
 Pendidikan Syariah Islamiah
 Pendidikan Al-Quran dan Al-Sunnah
 Tasawwur Islam
 Bahasa Arab
 Usul Al-Din
 Al-Syariah
 Manahij Al-Ulum Al-Islamiah
 Al-Adab Wa Al-Balaghah
 Hifz Al-Quran
 Maharat Al-Quran

DAN

3. Mendapat sekurang-kurangnya Gred C SATU(1) daripada mata pelajaran berikut pada peringkat SPM
 Prinsip Perakaunan
 Ekonomi
 Perniagaan
 Science
 Additional Science
 Physics
 Chemistry
 Biology

**Mata pelajaran adalah mengikut senarai mata pelajaran Sijil Pelajaran Malaysia (2019) yang disediakan oleh Lembaga Peperiksaan, Kementerian Pendidikan Malaysia.