MSc Finance (Banking and Risk Management)

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Campus
Mode of study
Fees and deadlines depend on the selected options. Fees and currency conversion are approximate.
Offer response
4 - 6 weeks after your application is submitted
Backlogs accepted
This course accepts backlogs
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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

Requirements

The requirements may vary based on your selected study options.





















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Tuition fee
Apply by
Start date
Duration
Campus
Mode of study
Fees and deadlines depend on the selected options. Fees and currency conversion are approximate.
Offer response
4 - 6 weeks after your application is submitted
Backlogs accepted
This course accepts backlogs