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This Masters programme offers training in the key areas of financial analysis, forecasting and financial investment. It will provide you with an understanding of the underlying forces driving financial markets and the relevant analytical tools; the management of portfolios to optimise clients objectives; and the forecasting of the future behaviour of stocks, interest rates and exchange rates.
Career prospects
Suitable career paths when you graduate will be in financial institutions including central banks, investment banks as well as the International Monetary Fund and the World Bank; asset management firms; governmental bodies involved in financial decision-making; other organisations involved with financial transactions and the provision of finance; and the academic sector.
Students on this Masters programme will take four core courses, two optional courses and complete a substantial independent piece of work, normally in the form of a dissertation.
Teaching is provided by lectures. Technical subjects are supported by weekly or fortnightly tutorials, which provide opportunities for you to engage with issues and questions in a group format. Some courses also involve lab sessions using specialised software, for instance in the study of econometrics or computational finance.
Core courses
* Basic econometrics
* Financial markets, securities and derivatives
* Modelling and forecasting financial markets
* Portfolio analysis and investment (co-requisite course for Advanced portfolio analysis).
Optional courses
* Advanced portfolio analysis (Portfolio analysis and investment is a corequisite for this course)
* Applied computational finance
* C++ in finance (Mathematical finance is a corequisite for this course)
* Corporate finance and investment
* Economic fundamentals and financial markets
* Empirical asset pricing (Basic econometrics or Portfolio analysis and investment or conomic fundamentals and financial markets are corequisites for this course)
* Financial derivatives (Mathematical finance is a corequisite for this course)
* Financial market micro structure
* Foreign direct investment and development
* Hedge fund risk management
* International finance and money
* International financial accounting for multinational companies (MNCs) (Accounting & Finance)
* Investment, finance and asset prices
* Mathematical finance (co-requisite course for Financial derivatives).
Want to improve your English level for admission?
Prepare for the program requirements with English Online by the British Council.
- ✔️ Flexible study schedule
- ✔️ Experienced teachers
- ✔️ Certificate upon completion
📘 Recommended for students with an IELTS level of 6.0 or below.