You will learn the practical skills needed to be a future leader in this challenging and exciting arena, and over the course of your degree, you will have plenty of opportunities to tailor your studies as your interests evolve.
You will begin by learning the bedrock of finance theory and methodology, and move on to study programming for financial applications, portfolio management, international financial markets, and advanced corporate finance.
Your first year includes Accounting and Finance, Quantitative Methods for Finance and Investment, plus Microeconomics and Macroeconomics.
Second-year students learn about Corporate Finance, Financial Engineering, Econometrics and Programming for Finance Applications.
Your third-year industrial placement in the financial and investment sector provides you with a positive, practical experience in a graduate role, gaining priceless business skills. You will see how well academic theories work in real-life situations, and gain insight into where your talents and interests lie for your future career.
In your final year, you choose all your modules, from Portfolio Management, Financial Markets, Bloomberg Analysis and Advanced Corporate Finance.
Throughout your studies, you will be led by academics at the frontier of financial research. Our researchers work on major European projects, including investigating how to apply artificial intelligence to banking, and on the art, precision and effectiveness of factor investing and hedge fund strategies. We have developed strong links with the Bank of England, top asset management companies, financial regulators and economists worldwide. Our connections with Invesco allow us to deliver joint conferences and seminars, providing you with insights from both top academics and industry professionals.