This challenging course is specifically designed to open up new opportunities and provide you with an excellent understanding of the important issues dominating the financial world today. An ideal choice if you wish to pursue a career in investment banking, private equity or corporate financial management.
Knowledge of financial institutions and markets is developing rapidly, and this course provides an up-to-date evaluation of the theory, with an emphasis on the practical application of this knowledge. You will develop your competence in applying quantitative skills to the practice of financial investment and analysis and the critical and analytical powers to evaluate and understand the theoretical underpinning on which finance relies.
The programme will provide you with the computer and research skills required by employers in this highly competitive sector. After an induction programme introducing you to the Business School and the expectations and ethos of the course, you will go on to:
- address the modern portfolio theory and its implications for the pricing of assets;
- develop a critical knowledge and understanding of the core theories and concepts in the field of corporate finance and investment and financial accounting; and
- examine in detail the key risks (credit, liquidity, interest rate and market risk) to which investment firms and banks are exposed, and their measurement and management techniques.