The MSc Economics and Finance at the University of Bristol is designed for graduates seeking to deepen their analytical and quantitative skills in both economics and finance. This programme addresses the complex interplay between economic theory and financial markets, equipping you to tackle challenges in areas like asset pricing, econometrics, and corporate finance. You will engage with cutting-edge research and methodologies, preparing you for advanced roles in the financial sector or further doctoral studies. This postgraduate degree is ideal for those with a strong quantitative background aiming for impactful careers.
You will study this full-time, on-campus Masters degree over one year, immersing yourself in core units such as Economic Modelling, Econometrics, and Asset Pricing, alongside a substantial dissertation. The curriculum allows you to tailor your expertise through optional units in Financial Modelling, Derivatives, or Behavioural Finance, and also explore Machine Learning for Economics. You will develop advanced analytical techniques and gain practical experience, graduating with the sophisticated understanding and problem-solving abilities sought by employers in global finance and economic policy.
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