MSc in Investment Management
A one-year post-graduate programme deepening your knowledge of the theory and practice of investment and risk management.
Who is it for?
You are an ambitious recent graduate looking to develop a full range of skills to help launch your career in finance or accounting. This is a highly practical master's course in Investment Management so you’ll need to possess a high level of quantitative skills.
Your coursework will involve you in examining accounting and finance from the perspective of those who use financial reports to evaluate company and managerial performance.
This one-year, full-time, expertly structured Investment Management postgraduate programme will provide you with the real-world accounting and finance expertise that leads to a wide range of rewarding international roles.
You will acquire a sound knowledge of the theoretical foundations that underpin modern investment and risk management techniques.
These principles are applied in practice via case studies and the use of online databases such as Bloomberg and simulators.
The practical aspect is delivered with extensive input from City of London institutions. Many leading practitioners teach on the course, providing a vital link between theory and practice.
The MSc in Investment Management is a demanding course. During the course you will cover the traditional syllabus of a general master's degree in finance and develop extensive expertise in a range of specialised areas such as:
- The management of equity and bond portfolios
- Trading techniques
- Asset-liability management
- Risk management
- Alternative investments
- Structured products
- Portfolio optimisation.
An advisory panel of senior practitioners ensures that the course remains at the forefront of developments within financial markets and reflects topical and technical developments in the marketplace.