Finance, Risk and Banking
We are a dynamic and vibrant department that provides a unique platform for research, teaching and learning in all three disciplines.
In Finance, Risk and Banking, we undertake rigorous quantitative research in empirically relevant issues. Our novel and unifying perspective benefits students, researchers, and practitioners who have innate curiosities in financial markets and institutions.
Our knowledge and expertise is communicated to students through carefully designed curricula in undergraduate, specialist MSc and up-to-date PhD programmes. Our aim is to equip the students with rigorous quantitative tools with a holistic perspective on all important areas related to financial markets, banking and risk management principles.
Our department aspires to research excellence and impact as well as quality in teaching. We engage in collaborations with private and public entities to help shape industry practices, to influence public policy debates and to inform our curriculum.
Each of our three specialist masters programmes in Finance, Risk and Banking are officially recognised by highly rated professional bodies like the Chartered Financial Analyst (CFA), Chartered Banker (CBI), and Insurance Institutes.
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