Quality Seal Emagister EMAGISTER CUM LAUDE

Investment and Finance MSc/PG Dip/PG Cert

Middlesex University
In London (Grossbritannien)

zzgl. MwSt.
Originalpreis in GBP:
£ 10.250

Wichtige informationen

Tipologie Postgraduate
Ort London (Grossbritannien)
Dauer 1 Year
Beginn September 2018
  • Postgraduate
  • London (Grossbritannien)
  • Dauer:
    1 Year
  • Beginn:
    September 2018

Since the global economic crash of 2008, the world of finance and investment has evolved considerably. This course is suited to those wishing to pursue a career in the finance world, working in areas such as investment banking, private equity or corporate financial management and will provide a solid framework of the crucial issues surrounding the sector as its core learning mode.

Wichtige informationen
Welche Ziele verfolgt der Kurs?

This contemporary and challenging course provides an up to date evaluation of financial institutions from both a modern theory and practical point of view. You will become competent at applying quantitative skills to the practice of financial investment and analysis where you will learn how to analyse the causes and consequences of financial and banking crises in mature economies and emerging markets. Furthermore, you will discover how the operation of global capital markets and risk management techniques function and understand investment performance and analyse financial data.

Voraussetzungen: Interviews, entrance tests, portfolios and auditions Entry onto this course does not require an interview, portfolio or audition.


Wo und wann

Beginn Lage
The Burroughs, NW4 4BT, London, Grossbritannien
Karte ansehen
Beginn Sep-2018
The Burroughs, NW4 4BT, London, Grossbritannien
Karte ansehen

Was lernen Sie in diesem Kurs?

Investment Management
Financial Modelling
Financial Training
IT Management
Financial markets
Financial Theory
Risk Management
Portfolio Theory
Equity Analysis


MSc Students will study all of the modules listed above, PG Dip Students will not study a Dissertation and PG Cert Students will take 3 specific modules, Financial Theory and Applications, International Financial Markets and International Financial Markets.

You will be expected to work on the dissertation (that should address a specific financial or investment issue) over the summer period after successfully completing all taught modules. A number of dissertation workshops are delivered during the taught period. At the end of these workshops, you will be required to submit a dissertation proposal. This will be used to allocate dissertation supervisors. The deadline for submitting the completed dissertation will be the end of September, 12 months after the start of the programme.
Year 1
Dissertation (60 Credits) Compulsory
Financial Modelling (30 Credits) Compulsory
Financial Theory and Applications (30 Credits) Compulsory
International Financial Markets (15 Credits) Compulsory
International Risk Management (15 Credits) Compulsory
Investment Management (15 Credits) Compulsory
Portfolio Theory and Equity Analysis (15 Credits) Compulsory

Zusätzliche Informationen