Global Finance & Banking MSc, PG Dip, PG Cert
Postgraduate
Online
Description
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Type
Postgraduate
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Methodology
Online
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Start date
Different dates available
Overview
The 100% online MSc, PG Dip & PG Cert in Global Finance & Banking from King’s Business School allows you to explore advanced financial and banking principles, such as investment analysis, analysis of financial statements, models of asset returns, optimal investment & risk and portfolio management.
King’s Business School is the new hub in London for engaging with business, finance and government; where game-changing research informs a contemporary approach to business education, creating socially responsible leaders of the future. Learn from leading academics and active senior finance professionals who will give you the right knowledge and tools to effectively tackle business challenges and support your career aspirations.
There will be a strong focus on practical skills, giving you the right knowledge and tools to effectively tackle challenges in the global finance and banking sectors, and support your career aspirations.
Fit your studies around your work and life commitments without taking a career break, and start to grow the essential research, analytical and critical thinking skills that you will need to succeed in your future finance career.
Why study with King’s Business School?
King’s College London has been ranked in the top 10 for business & management studies three years running (The Complete University Guide 2016-18).
The course aims to develop practical skills and maximise employability. Course modules are led by industry leaders to ensure that there are real world applications for all of your learning.
King’s Business School provides a highly stimulating intellectual environment, where students access unparalleled academic excellence and study alongside international peers from over 50 countries.
Achieve a Postgraduate Certificate in as little as 8 months, a Postgraduate Diploma in 16 months and an MSc in just 2 years.
Become part of a large and active community of alumni worldwide.
Benefits of online learning:
Facilities
Location
Start date
Start date
Reviews
Subjects
- Risk
- Investment Banking
- Investment
- Global
- Banking
- Finance
- Financial
- School
- IT risk
- Business School
- Financial Training
Course programme
About
About
Courses are divided into modules.
You will normally take:
MSc – modules totalling 180 credits.
PG Dip – modules totalling 120 credits.
PG Cert – modules totalling 60 credits.
PG Cert
PG Cert
Required modules
You are required to take:
- Quantitative Methods for Finance (15 credits)
- Investments (15 credits)
- Commercial and Investment Banking (15 credits)
- Financial Statements (15 credits)
PG Dip
PG Dip
Required modules
You are required to take:
- Quantitative Methods for Finance (15 credits)
- Investments (15 credits)
- Commercial and Investment Banking (15 credits)
- Financial Statements (15 credits)
You are also required to take 4 of the following modules:
- Financial Derivatives (15 credits)
- Applied Risk Management for Banking (15 credits)
- Asset Pricing (15 credits)
- Corporate Finance (15 credits)
- Financial Econometrics (15 credits)
- Wealth Management (15 credits)
- Global Tactical Asset Allocation (15 Credits)
- Behavioural Finance (15 credits)
MSc
MSc
Required modules
You are required to take:
- Quantitative Methods for Finance (15 credits)
- Investments (15 credits)
- Commercial and Investment Banking (15 credits)
- Financial Statements (15 credits)
- Financial Derivatives (15 credits)
- Applied Risk Management for Banking (15 credits)
- Asset Pricing (15 credits)
- Corporate Finance (15 credits)
- Financial Econometrics (15 credits)
- Wealth Management (15 credits)
- Global Tactical Asset Allocation (15 Credits)
- Behavioural Finance (15 credits)
Global Finance & Banking MSc, PG Dip, PG Cert