• University of Glasgow Featured Masters Courses
  • St Mary’s University, Twickenham Featured Masters Courses
  • University of Derby Online Learning Featured Masters Courses
  • Goldsmiths, University of London Featured Masters Courses
  • Coventry University Featured Masters Courses
  • Xi’an Jiaotong-Liverpool University Featured Masters Courses
  • Cardiff University Featured Masters Courses
  • New College of the Humanities Featured Masters Courses
De Montfort University Featured Masters Courses
FindA University Ltd Featured Masters Courses
Queen’s University Belfast Featured Masters Courses
University of Reading Featured Masters Courses
Northumbria University Featured Masters Courses
0 miles
Finance×

University of Southampton, Full Time MSc Degrees in Finance

  • Finance×
  • University of Southampton×
  • MSc×
  • Full Time×
  • clear all
Showing 1 to 6 of 6
Order by 
This programme has been designed to provide a solid foundation in Finance and Empirical Finance. The course fully integrates theory and practise and provides the opportunity to take a number of specialist modules to focus learning on a particular area of finance. Read more

Summary

This programme has been designed to provide a solid foundation in Finance and Empirical Finance. The course fully integrates theory and practise and provides the opportunity to take a number of specialist modules to focus learning on a particular area of finance. Companies are looking for a combination of high-level interpersonal skills, in-depth knowledge and analytical skills to enable them to succeed in a rapidly changing and highly complex environment and this programme has been designed with those expectations in mind. This one-year programme offers finance graduates the ability to further develop their skills, especially in quantitative analysis, to become highly numerate graduates with excellent analytical skills. Teamwork is a key component, with several modules requiring students to undertake groupwork assignments.

Modules

Introduction to Finance; Introduction to Portfolio Management and Exchange-traded Derivatives; Quantitative Finance; Advanced Corporate Finance; Advanced Time Series Modelling; International Finance; Behavioural Finance; Stock Market Analysis; Management of Financial Risk; Derivative Securities Analysis; Fixed Income Securities Analysis

Visit our website for further information...



Read less
This programme will suit numerate graduates from a broad range of subjects seeking specialist knowledge of risk and finance. Read more

Summary

This programme will suit numerate graduates from a broad range of subjects seeking specialist knowledge of risk and finance. The programme is an alternative to masters programmes in operational research, finance or economics and provides you with appropriate theories, models and techniques to reflect critically on how people use financial products and improve practice.

Modules

Introduction to Finance; Principles of Risk Management; Behavioural Finance; Risk-taking and Decision-making; Management of Financial Risk; Quantitative and Qualitative Research Optional modules: Simulation; Quantitative Methods; Stock Market Analysis; Corporate Risk Management Processes; Business Ethics; Problem Structuring; Advanced Corporate Finance; Project Risk Management; Insurance; Credit Risk Modelling and the Basel Accord; Credit Scoring and Data Mining.

Visit our website for further information...



Read less
This programme offers students both a rigorous training in econometrics and provides the broad knowledge needed to operate as finance specialists for the corporate, banking, fund management or government sectors, as well as. Read more

Summary

This programme offers students both a rigorous training in econometrics and provides the broad knowledge needed to operate as finance specialists for the corporate, banking, fund management or government sectors, as well as
further career in academia. It is designed for students with a particular interest in the more quantitative aspects of the subject and is one of the few programmes in the UK to offer specialist training in advanced econometric techniques and
their application to finance.

Modules

Compulsory modules: Economic Analysis; Econometrics I; Corporate Finance; Fin Econ & Asset Pricing; Time Series Econometric; Empirical Finance; Panel Data & Microeconometrics

Optional modules: Labour Economics; Industrial Economics; International Trade; Economic Policy in Development; Experimental Economics

Visit our website for further information...



Read less
This course equips students with the specialist skills and knowledge to pursue a career within the financial sector, or to undertake research in finance; the taught modules provide training in economic analysis and quantitative techniques, coupled with practical knowledge of financial markets and their operations. Read more

Summary

This course equips students with the specialist skills and knowledge to pursue a career within the financial sector, or to undertake research in finance; the taught modules provide training in economic analysis and quantitative techniques, coupled with practical knowledge of financial markets and their operations.

Modules

Compulsory modules: Economic Analysis; Financial Economics and Asset Pricing; Futures and Options; Principles of Corporate Finance; Quantitative Methods

Options change from year to year

Visit our website for further information...



Read less
This programme offers a rigorous training in the theory and practice of international banking and finance and familiarity with key concepts and techniques in international banking. Read more

Summary

This programme offers a rigorous training in the theory and practice of international banking and finance and familiarity with key concepts and techniques in international banking. This includes an understanding of the fragility and pitfalls of international banking and its role in supporting the economy. The programme has an international focus and will hone your skills in the practical application of financial techniques in a real-world setting.

Modules

Corporate Finance 1 and 2; Financial Risk Management; International Banking Derivative Securities Analysis; Fixed Income Securities Analysis; International Financial Policy; Introduction to Portfolio Management and Exchange traded derivatives; Quantitative Research in Finance; Stock Market Analysis.

Visit our website for further information...



Read less
This course provides the opportunity for students to gain exemptions from subjects CT1-CT8 of the professional examinations of the Faculty and Institute… Read more

Summary

This course provides the opportunity for students to gain exemptions from subjects CT1-CT8 of the professional examinations of the Faculty and Institute of Actuaries by performing sufficiently well in the instructional component (PGDip); graduates with a number of exemptions may enter employment as actuarial analysts with advanced professional standing; students who satisfactorily complete the PGDip may elect to continue to the award of Master's by undertaking a 3-month supervised programme of actuarial science research and submitting a corresponding dissertation.

Modules

Accounting and finance for actuarial science; actuarial communication and research; actuarial mathematics; actuarial risk management; economics; financial mathematics; mathematical finance; probability and mathematical statistics; statistical models in insurance; stochastic processes; survival models; dissertation.

Visit our website for further information...



Read less

  • 1
Show 10 15 30 per page



Cookie Policy    X