

MSc in Finance and Investment, University of Nottingham
Nottingham,
.
12 Months
Check Eligibility
About this course
This course provides a comprehensive exploration of finance, covering foundational topics like equity markets, corporate finance, and quantitative research methods. In the first semester, students learn about how equity investments are characterized, portfolio construction, and the basics of fixed interest securities. The second semester delves into derivative investments, fixed interest investment strategies, and other advanced financial instruments. The program includes practical components such as a summer resources management dissertation, where students engage in primary data collection, and a business project that applies learned concepts to real-world business challenges. The curriculum balances theoretical understanding with applied skills, preparing students to analyze financial markets, manage risk, and evaluate investment strategies effectively.
Why this course is highly recommended
This course is ideal for students looking to develop a well-rounded understanding of finance, combining theoretical knowledge with practical applications. The inclusion of optional modules enables students to customize their learning experience according to their career interests, whether in investment management, risk analysis, or sustainable finance. The program’s focus on real-world projects and data analysis skills enhances employability and prepares graduates for diverse roles in the finance sector.
Specialisation
The course offers optional modules in areas like Behavioural Finance, Computational Finance, Contemporary Issues in Finance, International Finance, Sustainable Finance, Venture Capital and Private Equity, and Financial Econometrics. These specialisations allow students to tailor their studies towards specific interests within finance, such as market behavior, computational analysis, or sustainable investment practices.
Course fees
Application fees
38.42L
1st year tuition fees
38.42L
Living cost
-
Living cost
-
Degree requirements
The course includes core modules across semesters covering capital markets, corporate finance, derivatives, fixed interest investments, and research methods. It also offers optional modules to extend knowledge and skills in specialized areas. A summer resources management dissertation and a business project are integral parts of the program, emphasizing research, data analysis, and practical application. Specific academic prerequisites are not detailed here.
English language test
PTE
71
TOEFL
90
DUOLINGO
-
IELTS
6.5
Career prospects
Graduates from this program are well-equipped for careers in finance, investment analysis, risk management, asset management, and financial consulting. The diverse module offerings and practical projects prepare students for roles in financial institutions, consultancy firms, corporate finance departments, and venture capital firms.
FAQs
What practical skills will I gain from this course?
You will develop skills in financial analysis, data modelling, valuation, risk measurement, and the use of computational tools for financial decision-making.
Are there opportunities for research and real-world projects?
Yes, the course includes a summer dissertation involving primary data collection and a business project that applies your knowledge to real-world business problems.
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