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  • Study Type

    Full time & Part time available

  • Subject Areas

    Business & Management


  • Start Date

    September, January

  • Course Duration

    1 Year Full Time / 2 Years Part Time

  • Course Type

    MSc, PgDip, PgCert

  • Course Fees

    Sept 2017 UK/EU/Full-time £9,660 Sept 2017 International £12,480

  • Last Updated

    07 December 2016

Course content

The programme aims to provide students with a rigorous grounding in the core concepts knowledge and skills of finance and risk through the thorough examination of the specialist literature in these areas and the practical use of data collection and analysis. The key objective of the programme is to develop knowledgeable technically competent graduates who are able to critically engage both with core concepts and a diverse set of ideas. While the programme is conceptually driven, it is also pragmatically focussed with a view to teaching concepts that have a high degree of relevance to finance and its regulation. The modules will consist of a variety of learning approaches including scheduled lectures and seminars, in-class workshops, computer practicals, case studies and guest lectures from leading practitioners.

Students will study the following topics:

International Finance and Security Analysis

Portfolio Theory and Investment Management

Financial Risk Management

In addition an optional module may be selected from the following:

Islamic Banking and Financial Regulation

Applied Quantitative Finance

Financial Derivatives

(Optional modules subject to availability)

This will be followed by a dissertation module.

Visit the MSc Finance and Risk page on the University of East London website for more details!





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Recipient: University of East London

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