234920 v.4 Property and Finance Double Major


Introduction

This double major provides corporate and property finance skills, enabling graduates to analyse property investments and developments within a framework of company and portfolio finance. It is designed for those seeking a career with financial institutions, investment advisers, investment institutions and the property departments of trading companies.

Course Structure

Hrs/Wk

Credit

Year 1 Semester 2

10828 v.3   Income Property Analysis 102 3.0 25.0
11010 v.2   Law (Contract) 101 3.0 25.0
  50.0

Year 2 Semester 1

10858 v.3   Real Estate Market Analysis 210 3.0 25.0
11001 v.3   Economics (Macro) 101 3.0 25.0
13322 v.3   Property Economics 102 3.0 25.0
2806 v.5   Finance (Introductory) 201 3.0 25.0
  100.0

Year 2 Semester 2

11020 v.2   Property Law 283 3.0 25.0
11023 v.3   Real Estate Finance 205 3.0 25.0
2807 v.5   Finance (Managerial) 212 3.0 25.0
  SELECT 1 OPTION   25.0
  100.0

Year 3 Semester 1

10853 v.3   Property Management 330 3.0 25.0
11038 v.4   Finance (Corporate) 307 3.0 25.0
13323 v.3   Construction and Building Costs 201 3.0 25.0
9753 v.6   Finance (Portfolio Management) 301 3.0 25.0
  100.0

Year 3 Semester 2

10857 v.3   Real Estate Development 310 3.0 25.0
11040 v.3   Bank Lending 306 3.0 25.0
12034 v.5 # Business Project 301 3.0 25.0
9754 v.5   Finance (International) 302 3.0 25.0
  100.0
 
Optional Units (No Year Level Specified) Hrs/Wk Credits
10820 v.3   Finance (Derivative Securities) 312 3.0 25.0
10821 v.3   Finance (Market for Corporate Control) 311 3.0 25.0
11039 v.4   International Trade and Banking 305 3.0 25.0
12960 v.3   Finance (Instruments and Markets) 211 3.0 25.0
 
# In 2005 only this unit may be substituted with an optional unit.