MSc Finance and Investment
This course has core elements based around the three main classes of capital investment activity: equity markets, fixed interest markets, and derivative markets.The Corporate Financial Strategy module examines the institutional and decision making framework of equity investment from the perspective of the fund manager and the corporate financial manager. A similar perspective is adopted in the modules dealing with fixed interest and derivative markets. These modules introduce all the main techniques used by the modern investment professional. With these practical applications in mind, theoretical models including the use of Datastream and associated software, mathematical techniques, and spreadsheet models are integrated as appropriate. A wide range of options related to the core subjects are available, facilitating specialisation in specific areas such as taxation, corporate restructuring, risk management, or international finance. Many modules provide you with grounding in the research skills required for a specialist dissertation in a chosen area of finance and investment. Applicants for this MSc must have previously completed some undergraduate modules in finance.
Students with an outstanding first degree in a quantitative subject will be considered. All accepted applicants will be advised about pre course reading and given the opportunity to attend top up lectures in accounting and finance during the programme induction process.
Career Progression
Previous graduates have entered a variety of careers such as Accountancy, Auditing, Business Development, Financial Advice, Investment Management, Marketing, Mergers & Acquisitions, Procurement, Research, Risk Assurance, Tax Consultancy, and Trading. Some graduates have also gone into self employment.
Structure
Students must select 180 credits in total.
Semester 1
Core Modules
- Corporate Finance
- Capital Market Analysis
- Research Methods for Finance and Investment
- Quantitative Techniques for Finance
Core Modules
Choose a minimum of one module and a maximum of two modules from*:
- Accounting, Auditing and Control for Sustainability
- Corporate Risk
- Financial Econometrics
- Financial Reporting
- International Finance
- Industrial Economics and Organisation (New for 2012/13)
- Management Information Systems
- Quantitative Risk Management
- The Economics of Innovation
- Risk Management in Financial Institutions
- Theory of Risk & Insurance
- Venture Capital, Corporate Restructuring & Entrepreneurship
Summer
Finance and Investment dissertation.
* Not all optional modules will necessarily run each session.