This is a challenging degree and to ensure all students are ready we hold a two week pre-sessional course. Through your studies you will gain a strong grounding in core areas of finance and have the flexibility to specialise, in areas such as: fixed income securities and derivatives, investment and portfolio management and decision theory and behaviour. On graduation you will be skilled in financial analysis techniques; understand mathematical statistics and theories that are applied in financial econometrics and have the tools to analyse how the financial markets function.Our balanced approach to research and teaching guarantees high quality teaching from subject leaders, cutting edge materials and intellectually challenging debates. You will be taught by people who have worked and are still working in the finance industry in the broad areas of asset allocation and risk, as well as algorithmic trading.Ê