MSc Business Analytics
The MSc Business Analytics program is a postgraduate degree that focuses on the applica...
Streatham Campus
INTAKE: September
The MSc Financial Analysis and Fund Management program at the University of Exeter provides students with a deep understanding of financial analysis techniques and the skills needed to manage investment portfolios. The program focuses on developing analytical and quantitative skills essential for careers in finance and investment management.
Financial Analysis: The program emphasizes the development of advanced financial analysis skills. Students learn to analyze financial statements, assess company performance, evaluate investment opportunities, and conduct risk analysis. They gain proficiency in using financial modeling techniques and software tools.
Fund Management: The program offers in-depth knowledge of fund management principles and practices. Students explore portfolio management strategies, asset allocation, risk management, and performance evaluation. They gain insights into the functioning of financial markets and the role of fund managers.
Quantitative Methods: The program equips students with strong quantitative skills necessary for financial analysis. They learn statistical techniques, econometric modeling, and financial mathematics. These skills enable them to make data-driven decisions and effectively analyze financial data.
Investment Strategies: The program covers various investment strategies, including value investing, growth investing, and quantitative investing. Students learn about different asset classes, such as equities, fixed income securities, derivatives, and alternative investments. They also explore the impact of macroeconomic factors on investment decisions.
Industry-Relevant Learning: The program incorporates real-world case studies, simulations, and practical exercises to enhance students' understanding of financial analysis and fund management concepts. Students also have the opportunity to participate in industry guest lectures, workshops, and competitions.
Professional Skills Development: The program focuses on developing students' professional skills, including communication, teamwork, presentation, and critical thinking. These skills are crucial for effectively communicating financial analysis results and working collaboratively in the finance industry.
Streatham Campus
IELTS 7
£ 29000
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 Financial Analysis and Fund Management program have excellent career prospects in the finance industry.
Financial Analyst: Graduates can work as financial analysts, conducting research, analyzing financial data, and providing investment recommendations to clients or organizations. They can find employment in investment banks, asset management firms, financial consulting companies, and hedge funds.
Portfolio Manager: Graduates can pursue portfolio manager roles, where they are responsible for managing investment portfolios on behalf of clients or institutions. They make investment decisions, monitor portfolio performance, and adjust asset allocations based on market conditions.
Risk Analyst: Graduates can work as risk analysts, assessing and managing investment risks for financial institutions. They analyze market trends, identify potential risks, and develop risk management strategies to protect the organization's investment portfolio.
Investment Consultant: Graduates can become investment consultants, providing expert advice to individuals or institutions on investment strategies, asset allocation, and portfolio diversification. They help clients achieve their financial goals and optimize their investment portfolios.
Research Analyst: Graduates can work as research analysts, conducting industry and company-specific research to identify investment opportunities. They analyze financial statements, assess market trends, and provide investment recommendations to fund managers or clients.
Fund Administrator: Graduates can pursue roles in fund administration, where they are responsible for managing and overseeing the operational aspects of investment funds. They ensure compliance with regulatory requirements, handle fund accounting, and liaise with investors.