MSc Investment and Risk Finance

Attitudes to money management have changed since the credit crisis, the emphasis now is on understanding enterprise and broader risks, and managing these appropriately. With its practical focus, our MSc responds to the increased global demand for talent in both investment and risk management. You’ll develop a strong sense of market awareness from weekly updates on current market conditions drawn from the same commercial research used by several investment banks and hedge funds.

The course provides a thorough theoretical and practical grounding in the key aspects of investment and risk finance, developing sound analytical, numerical and technological skills. Suitable for experienced financial management practitioners who wish to advance their knowledge and those seeking front or middle office careers, the highly practical nature of the course, together with the unique access to professional insight and input, are key strengths.

In our state-of-the-art Financial Markets Suite (FMS), you will apply your knowledge to real-world problems facing the international financial services industry and the corporate financial management community. Using Bloomberg terminals, a leading source of economics and capital markets information available to the global professional financial community, this virtual trading floor allows you to monitor and analyse real-time financial market movements, company performance and financial data. You’ll learn how to use financial products to solve investment management problems or to mitigate financial risks.

Sharing their insight from over 30 years of experience in financial services, the teaching team produces a suite of dedicated learning resources, which includes:

The University of Westminster is located close to the City of London, the world-famous financial district where some of the largest global financial institutions and companies are based. Our status as a CISI (Chartered Institute for Securities and Investment) Centre of Excellence in Financial Markets provides eligibility for student membership, giving you access to free attendance at CPD events, industry news and online resources. Since our degree has been designed to align with CISI standard, on completion, you can sit the prestigious CISI L3 derivatives examination with little to no new study necessary.

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Modules

  • Financial Derivatives
  • Financial Modelling
  • International Risk Management
  • Modern Portfolio Management
  • Project
  • Research Methods in Finance and Accounting
  • Financial Analysis and Valuation
  • Financial Markets and Institutions
  • Fixed Income Analysis and Trading
  • Forecasting Markets and Risk Modelling
  • Financial Accounting Policy
  • Financial Information Systems
  • International Financial Reporting
  • Managerial Accounting
  • Modern Finance
  • £15,000 Per Year

    International student tuition fee

    1 Year

    Duration

    Sep 2024

    Start Month

    Aug 2024

    Application Deadline

    Upcoming Intakes

    • September 2024

    Mode of Study

    • Full Time