BSc (Hons) Investment and Financial Risk Management
Our finance courses are for students who want to progress with the knowledge and skills required for a successful career in the increasingly competitive world of global finance and banking.
The BSc Investment and Financial Risk Management is for students who want to work in a wide variety of finance and investment fields. Maybe portfolio management or investment analysis. Maybe corporate treasury or financial trading. You want to understand the role risk plays in investment decision-making and how to manage it.
Our three degrees in finance (Finance, Banking and International Finance, and Investment and Financial Risk Management) provide detailed knowledge of how financial markets work, how companies make investment, financing and acquisition decisions and how modern banks operate.
If your goal is a career in the international investment and risk management world, consider this course your jumping off point. You’ll gain an in-depth knowledge of how modern investment analysts and risk managers operate. As you move through the degree you’ll prepare for your career in investment management, trading or analysis in any area of finance.
You’ll study every aspect of the discipline, from managing global investment portfolios to asset trading. All within a broad sweep of rigorous academic learning encompassing equity markets, bond trading, risk management, derivatives, hedging, investment banking and many other broad areas of risk and investments. As a result, you will gain a good understanding of financial markets, its activities and its products.
The jobs in this field are both exciting and well paid. They demand intellectual rigour and commercial acumen, and by selecting this course, you too can prepare yourself with the skills and competencies these jobs require.
*ShanghaiRanking Global Ranking of Academic Subjects 2021
Our finance courses are for students who want to progress with the knowledge and skills required for a successful career in the increasingly competitive world of global finance and banking.
The BSc Investment and Financial Risk Management is for students who want to work in a wide variety of finance and investment fields. Maybe portfolio management or investment analysis. Maybe corporate treasury or financial trading. You want to understand the role risk plays in investment decision-making and how to manage it.
Our three degrees in finance (Finance, Banking and International Finance, and Investment and Financial Risk Management) provide detailed knowledge of how financial markets work, how companies make investment, financing and acquisition decisions and how modern banks operate.
If your goal is a career in the international investment and risk management world, consider this course your jumping off point. You’ll gain an in-depth knowledge of how modern investment analysts and risk managers operate. As you move through the degree you’ll prepare for your career in investment management, trading or analysis in any area of finance.
You’ll study every aspect of the discipline, from managing global investment portfolios to asset trading. All within a broad sweep of rigorous academic learning encompassing equity markets, bond trading, risk management, derivatives, hedging, investment banking and many other broad areas of risk and investments. As a result, you will gain a good understanding of financial markets, its activities and its products.
The jobs in this field are both exciting and well paid. They demand intellectual rigour and commercial acumen, and by selecting this course, you too can prepare yourself with the skills and competencies these jobs require.
*ShanghaiRanking Global Ranking of Academic Subjects 2021