The course offers students a sound knowledge of the theoretical foundations that underpin modern investment and risk management techniques, and prepares them for entry into the fast-growing investment management industry. The programme aims to cover the traditional syllabus of a Master's degree in finance whilst providing students with advanced level management and business training in specialised areas of investment, such as the management of equity and bond portfolios; trading techniques; risk management; management of foreign exchange and derivative securities and emerging markets investment.
Part 1 compulsory modules: current issues in international finance; international financial markets; research methods; financial modelling; investment strategy and portfolio management; financial analysis; plus 2 from: international financial management; financial econometrics; financial engineering; behavioural finance; financial stability; part 2 consists of either a supervised dissertation of around 10,000 words, or a structured advanced taught programme of Summer study that is specific to your chosen degree.
|Qualification||Study mode||Start month||Fee||Course duration|
|MSc||Full-time||September 2017||GBP 8,700 per Whole course (Home/EU)||12 Months|
|Campus name||Town||Postcode||Region||Main campus||Campus||Partner|
|Bangor Campus||LL57 2DG||Wales|
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