MSc Finance with Risk Management

Develop in-depth knowledge of finance and risk management theory and learn to apply it in practice. Graduate prepared for a career in either field.

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Modules

  • Econometrics for finance
  • Theory of financial decision making
  • Introduction to quantitative finance
  • Financial derivatives
  • Investment management
  • Banking
  • Corporate governance
  • Financial econometrics
  • Risk management
  • Corporate finance
  • International finance
  • Financial engineering
  • Financial statement analysis and company valuation
  • Contemporary finance issues
  • New venture financing
  • Behavioural finance
  • Dissertation Track
  • Practice Track
  • £32,000 Per Year

    International student tuition fee

    1 Year

    Duration

    Oct 2024

    Start Month

    Sep 2024

    Application Deadline

    Upcoming Intakes

    • October 2024
    • October 2025

    Mode of Study

    • Full Time