Finance with Specialisations MSc
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I loved the park and it was a nice experience in all.
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This place was lovely and I enjoyed my time overall.
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For me, it was a disappointing experience, trainers weren't good and experienced. The customer care services weren't good at all.
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Postgraduate
In London
Description
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Type
Postgraduate
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Location
London
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Duration
12 Months
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Start date
January
Taught by professionals with extensive industry experience and high academic qualifications, the MSc Finance with Specialisations will prepare you for work in multicultural, globalised financial and banking organisations.
The programme offers three specialisations: Trading Risk Management Banking You will gain a thorough understanding of the various fields that make up the finance industry, as well as learning practical skills for your future career. We simulate the real-life experience of working in finance through training on the Thomson-Reuters platform, and guest lectures from industry specialists. We also use case studies of current live companies of interest, and you will participate in a case study competition, where your final valuation is presented to a panel of experts. You will look at how the theory and research you study applies to today’s reality, by discussing topical issues, such the eurozone crisis, considering a range of different perspectives, its causes, and potential solutions. Register for an open evening Why should I choose this programme? Finance plays a decisive role in the lives of both organisations and individuals. This programme will enable you to offer flexible solutions to complex problems, with repercussions beyond the finance industry, such as the recent banking crisis. Regent’s became the first University Chapter of the Global Association of Risk Professionals (GARP) in 2010. Students benefit from presentations by key risk specialists and networking opportunities with academics and practitioners from the field. The programme is complemented by practical extra-curricular activities, helping you to take what you learn in the classroom and apply it to the financial market. Key skills, aims and objectives This programme will equip you with both an academic and practical understanding of the finance...
Facilities
Location
Start date
Start date
About this course
Study methods You will be taught by lecturers who combine high academic credentials with varied industry experience, and attend guest lectures by banking and finance professionals. You will be using live data on the Thomson-Reuters Eikon platform and participate in real-life case studies with findings presented to panels of capital market experts. You will work closely within multi-lingual and culturally diverse teams, learning from the experiences of your fellow students and developing your collaborative skills. Students with disabilities Some of our courses encourage trips outside of the campus. If you have a condition that affects your mobility you are advised to contact the Disability Officer.
Reviews
-
I loved the park and it was a nice experience in all.
← | →
-
This place was lovely and I enjoyed my time overall.
← | →
-
For me, it was a disappointing experience, trainers weren't good and experienced. The customer care services weren't good at all.
← | →
Course rating
Recommended
Centre rating
Mish Choudhury
Alex
Helen Day
Kellie
This centre's achievements
All courses are up to date
The average rating is higher than 3.7
More than 50 reviews in the last 12 months
This centre has featured on Emagister for 7 years
Subjects
- Risk
- Risk Management
- Trading
- Banking
- Finance
- Financial
- Industry
- IT risk
- Financial Training
- September
Course programme
Length
There is one entry point in September and it will take approximately 12 months to complete the programme.
Additional information
This is a full-time programme, covering three terms. You will complete seven core modules, one elective module and a dissertation.
Modules
Term 1
- Corporate Finance
- Corporate Valuation
- Investment Analysis
- Research Methods
Term 2
- Bank Risk Management
- Econometrics
- Monetary Policy and Central Bank Operations
In addition, you will choose a specialisation with one of the following elective modules:
- Banking Regulation (banking specialisations)
- Bond Markets and Credit Derivatives (risk management specialisations)
- Trading and Hedge Funds (trading specialisations)
Term 3
- Dissertation
See module descriptions
Additional information
With COVID-19 likely to generate worldwide quarantine restrictions and travel disruption for some time, and noting our duty to prevent our students from being impacted by a potential second wave, we've made the decision to deliver the Autumn 2020 Term online and prepare to return to campus in January 2021.
Finance with Specialisations MSc