MSc Business Analytics
The MSc Business Analytics program is a postgraduate degree that focuses on the applica...
Streatham Campus
INTAKE: September
The MSc Finance and Investment program at the University of Exeter focuses on equipping students with the knowledge and skills required to excel in the global finance industry. The program covers a wide range of topics, including corporate finance, investment analysis, portfolio management, risk management, and financial markets.
Core Finance Principles: The program provides a strong foundation in core finance principles, including financial analysis, financial modeling, valuation techniques, and financial decision-making. Students gain a deep understanding of financial concepts and learn to apply them in real-world scenarios.
Investment Analysis and Portfolio Management: The program explores the principles of investment analysis and portfolio management. Students learn how to analyze investment opportunities, assess risk and return, construct investment portfolios, and make informed investment decisions to maximize returns for clients or organizations.
Financial Markets and Instruments: Students gain insights into global financial markets and the various financial instruments traded within them. They learn about equity markets, fixed income securities, derivatives, and alternative investments. Students also examine the factors influencing market trends and learn to evaluate market conditions.
Risk Management and Financial Planning: The program emphasizes the importance of risk management in financial decision-making. Students learn to identify and assess financial risks, develop risk management strategies, and incorporate risk management techniques in investment and financial planning processes.
Ethical and Sustainable Finance: Students explore the role of ethics and sustainability in finance and investment. They examine ethical considerations in financial decision-making and learn about sustainable investing practices, including environmental, social, and governance (ESG) factors.
Financial Technology (FinTech): The program covers the emerging field of financial technology and its impact on the finance industry. Students learn about innovations such as blockchain, artificial intelligence, and data analytics and understand how these technologies are reshaping financial services and investment strategies.
Streatham Campus
IELTS 6.5
£ 28000
Postgraduate Entry Requirements:
Academic Qualifications: International students applying for postgraduate programs at the University of Exeter are typically required to have completed a bachelor's degree or equivalent with a minimum overall score of 55% or above. The specific requirements may vary depending on the chosen program and country-specific grading systems.
English Language Proficiency:
IELTS: The minimum requirement is typically an overall score of 6.5, with no less than 6.0 in each component.
TOEFL: The minimum requirement is typically a score of 90 on the internet-based test (iBT), with no less than 20 in each component.
PTE: The minimum requirement is typically a score of 62, with no less than 62 in each component.
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 Exeter offers a range of scholarships and financial support options to international students. These scholarships aim to recognize academic excellence, support talented individuals, and promote diversity and inclusivity.
It is important to note that the availability and criteria for scholarships may vary from year to year.
Graduates of the MSc Finance and Investment program have excellent career prospects in the finance industry.
Investment Analyst: Graduates can pursue roles as investment analysts, responsible for analyzing investment opportunities, conducting financial research, and making investment recommendations to clients or organizations. They work in investment firms, asset management companies, banks, and financial institutions.
Portfolio Manager: Graduates can work as portfolio managers, responsible for managing investment portfolios and making strategic investment decisions. They oversee the allocation of assets, monitor portfolio performance, and adjust investment strategies based on market conditions.
Financial Risk Manager: With their knowledge of risk management, graduates can work as financial risk managers, assessing and managing financial risks within organizations. They develop risk management strategies, implement risk mitigation measures, and ensure compliance with regulatory requirements.
Financial Consultant: Graduates can pursue careers as financial consultants, providing expert advice to individuals or organizations on financial planning, investment strategies, and risk management. They help clients make informed financial decisions and achieve their financial goals.
Corporate Financial Analyst: Graduates can work as corporate financial analysts, analyzing financial data, preparing financial reports, and assisting organizations in making strategic financial decisions. They assess the financial health of companies, conduct financial forecasting, and evaluate investment projects.
Financial Technology Specialist: With their understanding of financial technology, graduates can work in FinTech companies, focusing on developing innovative solutions, implementing digital platforms, and leveraging data analytics to enhance financial services and investment processes.