MSc Finance, Investment and Risk in Canterbury United Kingdom | University of Kent

University of Kent | Canterbury United Kingdom
Visit institution website for more information
Qualification
Masters Degree (Taught)
Languages
English
Delivery Mode
On-Campus
Tuition (2025)
GBP 20,000
(c. USD26,763)
Attendance
Full-time
Full-time Duration
12 months

In investment and risk management, professionals play a vital role in assessing financial, safety, and security risks while identifying business investment prospects. This field demands comprehensive understanding of corporate operations and composure in high-pressure situations. The MSc Finance, Investment and Risk program equips students with robust knowledge of financial, risk, and investment management principles, along with practical trading floor experience through our Bloomberg Lab simulator. The course also offers the valuable opportunity to undertake an industrial placement.


Destination of Study

Subjects of Study

Language Requirements

English
IELTS 6.0

Qualification Requirements

A minimum of a second-class UK degree, or an equivalent internationally recognised qualification, in finance, accounting, economics, business, mathematics, natural sciences or engineering related discipline.

All applicants are considered on an individual basis and additional qualifications, professional qualifications and relevant experience may also be taken into account when considering applications.

IELTS Academic- 6.0 overall (with a minimum of 5.5 in each component)
TOEFL iBT- 85 overall (with a minimum of 18 in R, 17 in W&L, 20 in S)

Tuition GBP 20,000
Canterbury, United Kingdom
Type
Public
Degrees offered
Bachelor's Degree

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