The MSc Finance and Investment at the University of Bristol equips you with a comprehensive understanding of financial theory and its practical application, preparing you for dynamic roles in the global financial sector. You will delve into core areas such as asset pricing, corporate finance, and quantitative methods, while also exploring specialised topics like derivatives, financial modelling, and green finance. This postgraduate degree is ideal for graduates with strong backgrounds in finance, economics, or accounting, as well as those from quantitative disciplines seeking to apply their analytical skills to finance.
This full-time, on-campus Masters degree is structured over one year, immersing you in a rigorous academic environment. Your studies will involve mandatory units and a significant dissertation project, allowing you to conduct in-depth research in an area of finance that interests you. Through case studies and analytical exercises, you will develop critical skills in financial reporting, investment management, and quantitative analysis. Upon graduation, you will be well-prepared for a variety of career paths, including investment banking, asset management, financial analysis, and fintech roles.