The award | How you will study | Study duration | Course start | Domestic course fees | International course fees |
---|---|---|---|---|---|
MSc | Full-time | 1 year | September | find out | find out |
On this course, you will learn from finance experts, bringing you some of the most up to date knowledge and techniques in their fields.
It will provide you with a solid foundation in modern finance and investment and prepare you for a career in investment banking, financial management or further postgraduate study in a related subject.
The course has a distinct quantitative focus and includes both theoretical concepts as well as their applications. You will benefit from real-time access to our Bloomberg Terminals and you will learn to utilise data to analyse financial instruments and help make effective decisions.
You will study a variety of modules across two semesters as well as a summer dissertation. The taught component consists of five core modules plus two options from a wide range of modules. This includes topics in corporate finance, capital markets, and financial security valuation as well as a thorough grounding in research methods for finance and a chance to study behavioural finance.
2.1 (international equivalent) in accounting, business studies, economics, finance or management; outstanding degrees in any quantitative discipline also considered. We will only consider students with a strong quantitative/mathematics background. You must have completed (at 2:1 or above UK or international equivalent) at least two of the following subject areas in the final two years of study: mathematics, statistics, quantitative research methods, finance, computational finance, and econometrics.
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