* Purchase books and computer software
IELTS 6.5 overall with minimum 5.5 in each skill
Our Master's in Finance and Investment covers the key areas of finance and investment analysis. It helps you prepare for highly valued professional qualifications and a range of financial careers.
This Finance and Investment course is ideal for those with degrees in accounting, finance, business, economics, or quantitative subjects. You will study financial markets and products, financial analysis and valuation, investment management, and financial econometrics, before conducting a research project on data analysis of financial markets. Learn from academics with recent industry experience and gain access to experienced investment banking professionals and researchers.
The course helps you develop the skills for successful careers in the finance industry. It covers the techniques used for the analysis and management of investment and risk in the investment industry. It also equips you with the theoretical and practical toolset to achieve Level 1 of the Chartered Financial Analyst (CFA) qualification after you graduate.
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Year 1
Students are required to study the following compulsory modules.
Financial Analysis and Valuation (15 credits)
Academic English for Postgraduates (Business)
Research Methods (15 credits)
Foundations of Scholarship (Dept ACC) (15 credits)
Principles of Finance (30 credits)
Investment Management (30 credits)
Financial Markets & Products (30 credits)
Research Project (30 credits)
Financial Engineering and Machine Learning (15 credits)
Graduates can pursue careers in investment and financial analysis such as investment management, corporate finance, financial management and consulting.
Graduates who go on to gain the CFA Institute's Chartered Financial Analyst status will be in great demand in many areas of business and finance.
Insurance - Single: 300 (£) per year