|Study location||United Kingdom, London, Campus Marylebone|
|Type||Master courses, full-time|
|Nominal duration||1 year|
|Tuition fee||£14,500.00 per year|
Undergraduate diploma (or higher)
Directly relevant degree disciplines include business studies, economics, geography, management, and operations research
The entry qualification documents are accepted in any language
IELTS 6.5 with a minimum score of 6 in each element or TOEFL or CAE equivalent
At least 2 reference(s) must be provided.
The course is designed to provide you with expertise in international finance and enable you to pursue a career within the finance profession. As well as the strong disciplinary base in international finance, you will draw on other cognate disciplines including accounting, quantitative methods and economics, and so be able to work with specialists in other areas and present findings and analysis to non-specialists. The course is open to people with no detailed prior knowledge of international finance, although this is desirable.
As a postgraduate finance student you will have access to a significant resource in the Financial Markets Suite, which uses the Bloomberg computer system to monitor real-time financial market movements and trends. It’s a resource available to very few UK universities, and one which provides a modern and progressive teaching environment combining finance theory with practice.
This is a relatively new and increasingly popular field which provides explanations for people’s economic decisions by combining behavioural and cognitive psychology theory with conventional economics and finance.
Through this module you will cover a range of data analysis methods and concepts.
Financial Markets and Institutions
This module offers detailed coverage and analysis of global financial markets and institutions.
Global Financial Markets
This module is concerned with both practical and theoretical issues related to international financial markets.
International Risk Management
This module provides the fundamental ideas and tools for thinking about international risk management.
You will gain an overview of fundamental topics in the field of finance, including capital structure, corporate value, cost of capital, dividend policy, financial instruments, investment, and modern portfolio theory.
An 8,000-10,000-word dissertation in the area of international finance.
Research Methods in Finance and Accounting
This module aims to develop your knowledge and competence of the research process, and the application of research methods in the area of international finance.
As an international finance postgraduate, you can look forward to excellent career prospects as an international finance specialist, in senior positions in international finance, or in the economics of international business.
Our postgraduates have gone onto successful careers with international companies and charities and within overseas trade, with many of our international postgraduates fulfilling such roles in their own countries.