MSc Finance (Banking and Risk Management)
Course Overview
This course provides a rigorous foundation in financial theory and quantitative methods, equipping you with the practical skills demanded by global financial markets. It is strategically designed to cover a significant portion of the CFA Levels 1-3 curriculum, ensuring your knowledge is both deep and professionally relevant. You will bridge the gap between theory and practice by managing a live simulated investment portfolio throughout the program.
Key Program Highlights
- Comprehensive coverage of the CFA Levels 1-3 syllabus
- Hands-on management of a live simulated asset portfolio
- Regular workshops and presentations by industry practitioners
- Mastery of quantitative techniques and analytical methods used in finance
- Rigorous grounding in both financial theory and practical market applications
Course Overview
This course provides a rigorous foundation in financial theory and quantitative methods, equipping you with the practical skills demanded by global financial markets. It is strategically designed to cover a significant portion of the CFA Levels 1-3 curriculum, ensuring your knowledge is both deep and professionally relevant. You will bridge the gap between theory and practice by managing a live simulated investment portfolio throughout the program.
Key Program Highlights
- Comprehensive coverage of the CFA Levels 1-3 syllabus
- Hands-on management of a live simulated asset portfolio
- Regular workshops and presentations by industry practitioners
- Mastery of quantitative techniques and analytical methods used in finance
- Rigorous grounding in both financial theory and practical market applications