BEng Hons Aerospace Engineering
The BEng Hons Aerospace Engineering program at the University of Surrey is designe...
Guilford - UK
INTAKE: Feb & Sept
Intake:- Febuary & September
The MSc Investment Management program at the University of Surrey is designed to develop students' knowledge and skills in the field of investment management, enabling them to pursue successful careers in the finance industry. This program combines theoretical foundations with practical applications, providing students with a deep understanding of investment strategies, financial markets, and portfolio management.
Investment Analysis: The program provides students with a strong foundation in investment analysis. They learn how to evaluate different investment opportunities, analyze financial statements, and apply various valuation techniques. Students also gain insights into market trends, economic indicators, and industry analysis, enabling them to make informed investment decisions.
Portfolio Management: The program focuses on portfolio management, equipping students with the skills to construct and manage investment portfolios. Students learn about asset allocation, risk management, and diversification strategies. They also study portfolio performance evaluation, investment strategies, and the use of derivatives in portfolio management.
Financial Markets and Instruments: The program explores the functioning of financial markets and the various financial instruments available for investment. Students gain knowledge of equity markets, fixed income markets, derivatives, and alternative investments. They understand the role of financial intermediaries and the impact of regulatory frameworks on investment practices.
Quantitative Methods for Investment: The program emphasizes the use of quantitative methods and analytical tools in investment management. Students learn how to apply statistical techniques, financial modeling, and data analysis to evaluate investment opportunities and manage portfolios. They also gain proficiency in using software and programming languages commonly employed in the industry.
Ethics and Professional Standards: The program addresses the ethical considerations and professional standards in investment management. Students learn about the principles of ethical investing, sustainable finance, and responsible investment practices. They understand the importance of compliance, corporate governance, and the fiduciary duties of investment professionals.
Guilford - UK
IELTS 6.5
£ 22000
Postgraduate Entry Requirements:
Students must provide:
Work experience: Some postgraduate courses may require relevant work experience in the field.
It is important to note that meeting the minimum entry requirements does not guarantee admission, as the university considers factors such as availability of places and competition for the program. Additionally, some courses may have higher entry requirements or additional selection criteria, such as interviews or portfolio submissions.
The University of Surrey offers a range of scholarships and financial aid options to support students in their academic journey. These scholarships are designed to recognize excellence, provide access to education, and support students in achieving their educational goals.
Graduates of the MSc Investment Management program from the University of Surrey have excellent career prospects in the finance and investment industry. They can pursue a wide range of roles in investment banks, asset management firms, hedge funds, and financial advisory companies.
Investment Analyst: Graduates can work as investment analysts, conducting in-depth research, and analysis of investment opportunities. They evaluate financial data, perform risk assessments, and make recommendations for investment decisions.
Portfolio Manager: Graduates can pursue careers as portfolio managers, responsible for managing investment portfolios on behalf of clients or institutions. They develop investment strategies, allocate assets, and monitor portfolio performance.
Risk Manager: Graduates can work as risk managers, assessing and managing investment risks. They analyze market trends, monitor portfolio exposures, and develop risk mitigation strategies.
Financial Advisor: Graduates can work as financial advisors, providing investment advice and guidance to individuals or organizations. They assess clients' financial goals, develop investment plans, and help clients make informed investment decisions.
Research Analyst: Graduates can work as research analysts, conducting market research, and analysis to support investment strategies. They analyze industry trends, monitor economic indicators, and provide insights into investment opportunities.