MSc Finance

Our Finance MSc teaches you advanced knowledge and skills in financial markets and institutions. You'll learn how they function and interact with the real economy.

About this course

Worldwide growth in the financial services sector has furthered the demand for students with specialist skills and competencies in finance.

Our course is responsive to trends and issues in global financial markets and services. It features compulsory modules in financial theory and corporate policy. It also includes optional modules on financial markets, financial institutions and applied empirical methods in finance. It is closely related to our Banking and Finance MSc.

What you'll learn

Your studies will include financial markets and institutions and the management of asset-specific, company and country risk. We'll teach you how to analyse their roles within the international financial system.

The course will develop your understanding of the key financial principles and theories. You'll also improve your existing IT and research skills, which employers value in this competitive sector.

You'll understand and analyse international financial markets, institutions and the strategies of investors. We'll encourage you to engage with contemporary debates on important issues related to the operation of financial markets and institutions. You will learn about the types and function of financial markets such as stock, bond, foreign exchange and derivative markets.

Your development

On completion of the course you will be able to:

apply appropriate econometric and computational techniques in the area of finance
show advanced capability with some econometric and computational techniques
critically analyse the results generated by these techniques
synthesise and present relevant data, conclusions and recommendations to both specialist and non-specialist audiences
apply knowledge, skills and understanding to complex issues within the finance and related industries.

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Modules

  • Compulsory modules
  • Dissertation
  • Applied Econometrics
  • Research Methods in Economics and Finance
  • Introductory Econometrics
  • Financial Theory
  • Financial Derivatives
  • Corporate Finance
  • Financial Technology
  • Critical Skills for Finance
  • Options modules
  • International Money and Banking
  • Behavioural Finance
  • Risk Modelling
  • Retail and Investment Banking
  • International Finance
  • Portfolio Management
  • Introduction to Financial Reporting
  • Green Finance and Sustainability
  • Postgraduate International Experience
  • Use our magical AI system, to check your admission chances for this course.
    £28,900 Per Year

    International student tuition fee

    1 Year

    Duration

    Sep 2024

    Start Month

    Aug 2024

    Application Deadline

    Upcoming Intakes

    • September 2024
    • September 2025
    • September 2026

    Mode of Study

    • Full Time