Master of Science
MSc Finance & Investment
Markets, valuation and risk — taught by practitioners, tested against live data.
Overview
A rigorous grounding in corporate finance, asset pricing and portfolio management for graduates targeting careers in financial services. Teaching combines formal theory with trading-room simulations and live market data, so models are always tested against reality.
For numerate graduates — finance, economics, engineering, mathematics or similar — preparing for analyst and associate roles in banking, asset management and corporate finance.
Full programme details coming soon.
Module lists, entry requirements and fees for this programme are being finalised for the next intake. Request a prospectus or contact admissions for the current specification.
Contact AdmissionsReady to apply?
Applications are reviewed on a rolling basis and most decisions are returned within ten working days. There is no application fee.
Start your application