MSc Financial Modelling & Investment

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Tuition fee
Apply by
Start date
Sep 2025
Sep 2026
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

Why this programme

  • MSc Financial Modelling & Investment aims to:
    • Provide you with a thorough understanding of the underlying forces acting in financial markets and the relevant analytical tools
  • Help you develop the skills required to:
    • Design and formulate optimal portfolios and investment strategies under market uncertainty
    • Exploit available information to forecast the future behaviour of stocks, interest rates, exchange rates
    • Provide authoritative and up-to-date analysis and advice on every type of financial investment and risk hedging strategies in global markets
    • The constituent courses will develop both theory and practical applications through interactive lectures, seminars, tutorials and computer labs. These are often supplemented by online learning activities that help you prepare for and supplement in-class activities, working not only individually but also collaboratively. In this way, you will develop high-quality market skills that supplement a range of transferable and specialist skills within the context of global investment management.
    • The acquired skills and knowledge on issues relevant to asset pricing and investments are essential for both institutional and individual investors participating in capital and money markets.
    • You will receive Bloomberg training in the school's dedicated training suite, which will provide hands on experience in asset pricing, portfolio management and financial trading strategies.
    • We are now partners with Bloomberg Experiential Learning. The ELP program recognises and celebrates academic institutions that are leaders in experiential learning through the integration of Bloomberg terminal exercises into curriculum.
    • Take advantage of our individualised skills development programme, which will ensure you find a balance between academic theory and crucial employability skills. This will maximise your potential and help you to achieve your career goals.
    • You will gain skills necessary to conduct advanced empirical analysis on equities and derivatives markets, enabling you to design and formulate optimal portfolio, investment and risk hedging strategies that will meet the most demanding clients’ expectations.

Adam Smith Business School is triple accredited

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Requirements

The requirements may vary based on your selected study options.





















Modules

  • FINANCIAL MARKETS, SECURITIES AND DERIVATIVES
  • MODELLING AND FORECASTING FINANCIAL TIME SERIES
  • PORTFOLIO ANALYSIS AND INVESTMENT
  • EMPIRICAL ASSET PRICING
  • DISSERTATION GCEFS
  • BASIC ECONOMETRICS
  • ECONOMIC FUNDAMENTALS AND FINANCIAL MARKETS
  • INTERNATIONAL FINANCE AND MONEY
  • MATHEMATICAL FINANCE
  • APPLIED COMPUTATIONAL FINANCE
  • INVESTMENT, FINANCE AND ASSET PRICING
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    Use our magical AI system, to check your admission chances for this course.
    Tuition fee
    Apply by
    Start date
    Sep 2025
    Sep 2026
    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