This programme is tailored for individuals seeking to excel in the dynamic finance and investment industry. The curriculum revolves around three primary realms of investment activities: equity markets, fixed-income markets, and derivative markets. Anchored in cutting-edge academic research and practical case studies rooted in both domestic and international financial markets, the course content is designed to deliver a comprehensive understanding of the financial markets.
Participants in the MSc Finance and Investment program have the opportunity to take advantage of the dissertation component to delve deeper into a finance and investment topic aligned with their personal interests and career aspirations.
Special features
Recognized Excellence: The program has earned a prestigious spot as a World Top 10 MSc in Finance program according to the Wall Street Journal rankings. It is also listed among the Top 35 postgraduate finance programs globally by the Financial Times.
CFA Affiliation: The MSc Finance and Investment program is an esteemed member of the CFA Institute University Affiliation Program. Its curriculum extensively incorporates the CFA Program Candidate Body of Knowledge (CBOK), aligning closely with investment management practice and offering valuable preparation for the CFA Program exams.
Cutting-edge Resources: The program harnesses state-of-the-art financial laboratories and databases, including the Blockchain Laboratory, Centre for Inclusive Finance, Financial Markets and Technology Centre, Bloomberg database, and CSMAR database. This integration of resources equips students with hands-on experience and real-world insights.