The Finance and Investment Masters Degree at Birmingham City University is designed for ambitious individuals eager to excel in the dynamic global financial markets. You will develop a sophisticated understanding of financial institutions, strategic risk management, and portfolio analysis, equipping you to navigate complex investment landscapes. This postgraduate course is ideal if you seek to build a robust foundation in advanced corporate finance and applied financial econometrics, preparing you for impactful roles within the financial services industry.
This full-time, on-campus Masters programme is studied over one year, immersing you in core modules such as Financial Institutions and Regulation and Portfolio Management. You will also have the opportunity to explore optional areas like Derivatives Investments or Behavioural Finance, tailoring your expertise. Throughout your studies, you will engage in rigorous analytical work and complete a substantial Business and Management Research Project. You will graduate with the advanced quantitative skills and strategic insight necessary for a successful career in investment banking, asset management, or financial analysis.