Course Description
On this MSc, you’ll explore:
- the impact of finance and financial markets on the wider global economy, including in developing countries
- the core theoretical concepts in corporate finance, banking and the management of risk
- applying models, concepts and theories to solve financial and macroeconomic problems in research and policy environments
- the quantitative techniques used in international financial analysis, and how to investigate and interpret results.
Entry Requirements
You should have a lower second-class (2.2) undergraduate honours degree or above.
Fees
For fees and funding options, please visit website to find out more.