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The MSc in Investment and Finance is currently available for one-year full-time study, or two years part-time study. The pre-semester modules in maths and statistics take place in September. They are especially designed for students who want to review concepts such as statistical distributions and matrix algebra. Pre-sessional modules Mathematics Statistics Semester A Semester B Post-Semester B Business Finance Financial Derivatives 7,000 word dissertation Investment Management Elective Commercial and Investment Banking Elective Quantitative Techniques OR Econometrics for Finance Elective Eviews Data Analysis for Dissertation Electives Asset Management Risk Management for Banking Applied Risk Management International Finance Behavioural Finance Applied Futures and Options Banking Regulations Cases in Business Finance Topics in Financial Econometrics Bond Market Strategies Alternative Investments Valuation and Private Equity Topics in Actuarial Finance and Insurance Credit Ratings Mergers and Acquisitions Islamic Finance in Practice Portfolio Construction Theory Principles of Accounting Applied Wealth Management Strategic Asset Allocation