Finance Analytics
Master
In London
Description
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Type
Master
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Location
London
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Duration
1 Year
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Start date
Different dates available
Finance Analytics MSc at King's Business School combines a rigorous academic programme that teaches the most recent developments in data analytics with a unique practitioners’ view of how these developments are shaping the practical aspects of finance.
With a focus on big data analytics, Finance Analytics MSc is designed to provide you with rigorous applied training in quantitative and empirical methods in Finance. Students will acquire the knowledge and develop the skills and expertise needed for a broad range of careers in finance and other multinational organisations.
Facilities
Location
Start date
Start date
About this course
Undergraduate degree with high 2:1 honours (i.e. overall average of at least 65% across all years of study) required in a social or applied science (e.g. finance, economics, management, engineering, applied mathematics, computer science or other relevant subject) or equivalent overseas qualification. Our programme is most suitable if you have some quantitative background in either finance and/or economics or have a degree with some quantitative elements.
Reviews
Subjects
- Data Analytics
- Big Data Analytics
- Principles of Finance
- Visualisation
- Data analysis
- Risk Analytics
- Business Risk Analytics
- Big Data
- Text Business
- Finance Analytics
- FinTech Analytics
- Risk Management
Course programme
Courses are divided into modules. You will normally take modules totalling 180 credits.
Required ModulesYou are required to take:
- Introduction to Big Data Analytics in Finance (15 credits)
- Principles of Finance (15 credits)
- Data Analysis and Visualisation (15 credits)
- Business Risk Analytics (15 credits)
- Dissertation (60 credits)
In addition, you are required to take 30 credits from the following range of optional modules, which may typically include:
- Big Data and Text Business and Finance Analytics (15 credits)
- FinTech Analytics and Robo Trading (15 credits)
- Conduct Risk Management (15 credits)
You are also require to take 30 credits from the following range of optional modukes, which may typically include:
- Empirical Finance (15 credits)
- Corporate Finance (15 credits)
- Financial Econometrics (15 credits)
- International Finance (15 credits)
- Behavioural Finance (15 credits)
- Portfolio Management (15 credits)
Additional information
Finance Analytics