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We've been helping students find the right postgraduate course for over a decade.
The MSc in Risk and Finance is an advanced, 13-month, part-time, programme taught in London. Compatible with professional schedules, this programme prepares you for careers in financial markets, corporate finance and risk management. You will learn about pricing &hedging financial instruments and assessing & selecting investments. This programme will suit you if you have a quantitative background, are an investment industry professional or a finance professional contemplating a lateral move.
Completion of this course will give you the fundamentals of financial risk management and equip you to make key corporate finance decisions.
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♦ 4-year bachelor degree in a finance-related field (or equivalent) or an outstanding 3-year bachelor degree with advanced finance courses.
♦ GMAT ≥ 650 or GRE or TAGE MAGE or CFA Level III or CAT* official test score report. (CAT* for Indian students only).
♦ Acceptable English proficiency tests/certificates (TOEFL, TOEIC or IELTS)
TOEFL Internet-based ≥ 92
TOEIC ≥ 850
IELTS ≥ 6.5
Cambridge Test of English > 175
► English native speakers or those holding a degree taught in English (minimum 3 years) are eligible for an English Test waiver.
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