Studying MSc Finance and Investment will prepare you for a successful career as a qualified finance and investment expert or a senior management professional. The curriculum covers various topics to provide an advanced understanding of the finance industry.
You will learn about corporate finance, focusing on capital structure, financing decisions, and strategies for maximizing shareholder value. The course’s asset and portfolio management component will explore techniques for managing investment portfolios, asset allocation, and performance evaluation. The financial derivatives course will give you insights into options, futures, and swaps. Financial management will provide an understanding of organizations’ economic planning, analysis, and decision-making. Risk management will teach you methods for identifying, assessing, and mitigating financial risks.
You will also develop skills in constructing financial models to support decision-making and strategy formulation in financial modeling, and you will cover how to analyze financial data, using statistical and quantitative methods to inform investment strategies and decision-making with data analysis.