The Investment Analysis and Risk Masters Degree at Aston University is designed for ambitious individuals aiming to excel in the dynamic world of finance. You will explore the core principles and advanced techniques required for effective investment management, fixed income securities analysis, and business finance. This postgraduate course equips you with a robust understanding of capital markets, portfolio theory, and the practical application of financial strategies, preparing you to navigate complex financial landscapes and make informed investment decisions.
Delivered on campus full-time over one year, you will engage with modules such as Investment Management, Fixed Income Securities, Business Finance, Trading Techniques, and Python for Finance. This hands-on approach includes developing practical data analysis skills using Python, essential for modern finance roles. You will learn to interpret market data, assess financial asset performance, and understand the intricacies of financial market operations. Upon graduation, you will be well-prepared for a variety of roles in investment banking, portfolio management, financial analysis, and risk management.