Applicants should hold a good Honours degree in a relevant academic discipline. Applications from candidates with relevant experience will be considered on an individual basis. English as a foreign language: IELTS 6.5.
Semester 1: investment analysis using Reuters; institutional investments; bond markets and fixed income securities; quantitative methods for finance. Semester 2: portfolio management; financial risk management; behavioural finance; international financial markets. Semester 3: research methods; dissertation or company internship and report.
|Qualification||Study mode||Start month||Fee||Course duration|
|MSc||Full-time||September 2016||GBP 9,602 per Whole course (England)||1 years|
|MSc||Full-time||September 2016||GBP 13,678 per Whole course (International)||1 years|
|MSc||Full-time||September 2016||GBP 9,602 per Whole course (Northern Ireland)||1 years|
|MSc||Full-time||September 2016||GBP 9,602 per Whole course (Scotland)||1 years|
|MSc||Full-time||September 2016||GBP 9,602 per Whole course (Wales)||1 years|
|MSc||Part-time||September 2016||-||2 years|
|Campus name||Town||Postcode||Region||Main campus||Campus||Partner|
|Coventry University||Coventry||CV1 5FB||West Midlands|
Get in touch
Remember to mention TARGETpostgrad when contacting universities.