Our programme focuses on such areas that have major practical and theoretical application as: investment analysis and management, portfolio creation and management, investment and commercial banking, asset and risk management, mergers and acquisitions, financial derivatives, quantitative financial analysis, taxation and banking regulation. Our programme is taught by widely respected academics in an internationally renowned department with impressive institutional links and practitioners with extensive and wide-ranging experience in the finance industry Our programme directors have set up a number of successful MSc programmes with excellent track records of employability and career progression for their graduates Study in the heart of London, the perfect location for building your career Close links and regular speakers from financial organisations give you insights and up-to-the-minute knowledge of the subject area A focus on such recent post financial crisis developments as recent banking regulation and its effects on the practice of banking and finance. Your employability is the main focus for a number of such unique characteristics of the programme as the participation of active senior finance industry practitioners in the teaching of a large proportion of the modules, the provision of many additional ungraded modules that enhance understanding of financial markets and the possibility of internships in financial firms.
Number | Duration |
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1 | year |
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