• This course will equip you with the analytical and managerial skills to succeed within the sector, after any undergraduate degree with a quantitative element.
  • The course is regularly refreshed to keep pace with advances in the financial sector, and is bench-marked against the syllabus of the CFA Institute. Current study themes include financial econometrics and forecasting, investment and risk management, sustainable strategic decision making, corporate financial management and international financial markets.
  • Facilities include a trading suite equipped with Bloomberg Terminals, which are used by financial traders and investment banks globally. The suite provides you with access to the live financial and economic data, portfolio construction and optimisation tools, information and analytics to support your studies.
  • In the second semester of year 2 of this programme you will have the opportunity to choose to complete either a master’s Internship or master’s Study Abroad module. If you choose the internship option, the University will work with you to secure an internship opportunity relevant to the industry sector you are most interested in.