MSc in Finance - Investments and Portfolio Management in Houston United States | University of Houston

University of Houston | Houston United States
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Qualification
Masters Degree
Languages
English
Delivery Mode
On-Campus
Tuition (2025)
USD 26,041
Attendance
Full-time
Full-time Duration
18 months

The investment and portfolio management pathway prepares students for diverse roles within the asset management sector, including positions in investment oversight, securities trading, financial analysis, and risk assessment. Graduates often find employment with investment banking institutions, professional asset management organizations (such as mutual funds, hedge funds, and retirement funds), and companies focused on derivative securities trading.

This specialized program's coursework equips students with comprehensive knowledge of investment evaluation, asset allocation strategies, fixed income securities, derivative instruments (including forwards, futures, swaps, and options), risk mitigation techniques, and financial product development. Learners can further focus their expertise by pursuing the Investment Analysis Certification.


Destination of Study

Subjects of Study

Language Requirements

English
IELTS 6.5

Qualification Requirements

Admission eligibility for the Master of Science in Finance program requires a four-year undergraduate degree (or foreign equivalent) from an accredited institution. The undergraduate degree may be in any discipline.


Official TOEFL (Test of English as a Foreign Language) score above 603 on the paper-based test or 100 on the internet-based test.
Official IELTS (International English Language Testing System) score above 6.5.

Tuition USD 26,041

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