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Global Finance MSc (Coventry)
Coventry University

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    Course overview

    Gain the knowledge and professional skills to develop a career in investment banking, portfolio management, corporate finance, or risk management.

    Explore the environment of the finance sector and build the skills needed to work strategically within it. Our MSc Global Finance aims to address the needs of individuals looking to pursue a career in global finance and further their knowledge of global financial markets.

    • Deepen your knowledge, understanding, and application in ethics, quantitative and research methods, economics, financial reports and reporting, global financial markets, valuation of financial securities, and portfolio management.
    • Explore the core business, financial disciplines, and methods of working in the financial sector, and learn how to apply these in practical contexts.
    • Develop powers of analysis, strategic approaches and communication skills to meet various analytical and decision-making challenges of the rapidly changing financial services industry.
    • Study the 18-month Extended Professional Practice route, to gain more practical insights and in-depth experience. See the module section for more details.

    Why you should study this course

    • CFA affiliation
      The curriculum is part of the University Affiliation Program of the Chartered Financial Analyst (CFA). This course has been designed to align with the syllabus of Level I and II of the CFA Institute professional exams and it currently covers at least 70% of the CFA Program Candidate Body of Knowledge (CBOK), offering excellent preparation for a global career in finance, banking, or risk management.
    • Industry-standard technology
      You will be provided with the opportunity to develop high levels of proficiency with industry-standard technology for the financial services sector, particularly when working on our simulated trading floor. You’ll use Bloomberg terminals and other software, such as S&P Capital IQ, R and SPSS, and other financial simulation software for options pricing and risk management.
    • London location
      Our campus is situated in Square Mile of the City of London, one of the most famous and busiest financial districts in the world – and we’re only a short distance from the UK’s second financial centre, Canary Wharf. Students will be studying on the doorstep of the finance and asset management industries where they may have opportunities to take part in placements/employment and continuing personal development with financial employers2.
    • Industry insight
      The course is taught by highly qualified academics who have solid career experience in banking, asset management, and portfolio management, and who maintain strong connections with industry and with professional associations (please note staff may be subject to change).

    Need help with choosing the right course for you?

    Contact Now

    Book your Free Consultation

    We will passed your details to our local office and one of our local advisers will contact you within 24 working hours.


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      1 Year

      Duration

      Coventry University London (City of London)

      Location

      £20,050

      Tuition Fee

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