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The Brunel Finance and Investment MSc equips graduates with specialized expertise for careers in financial management, emphasizing investment analysis and portfolio strategy. Alongside fundamental topics like financial theory, market dynamics, and corporate finance, you'll explore financial modeling techniques, investment approaches, performance metrics, risk analysis, valuation methods, and asset pricing theories. You'll enhance your quantitative abilities, problem-solving techniques, and capacity to assess and implement strategic solutions for medium to long-term challenges. The program provides hands-on experience with industry-standard tools like Datastream, Bloomberg, Fitch, Osiris, Reuters 3000 Xtra, and Thomson One Banker.
Career prospects
We focus on delivering practical, career-ready knowledge that translates directly to professional environments, equipping you with competitive advantages for post-graduation opportunities. The program's work placement option further enhances employability. Recognizing the competitive nature of finance sector recruitment, we provide comprehensive support to develop employer-valued competencies through departmental initiatives and the University's Professional Development Centre (PDC).
The program's rigorous curriculum prepares graduates for both professional and academic pathways, with alumni securing positions at prestigious institutions including the Australian Business School, EDHEC Business School in France, Glasgow University, and Oslo Business School.