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The Master of Science in Finance and Investment is a one-year, full-time on-campus program that provides students with a deep understanding of financial markets, investment strategies, and corporate finance. The program covers key areas such as financial analysis, portfolio management, and risk assessment, preparing students to make informed investment decisions and analyze financial data.
Graduates of this program will be well-prepared for careers in investment banking, asset management, and financial consulting. The University of Leeds offers access to industry experts, practical case studies, and networking opportunities, ensuring that students are well-equipped to succeed in the competitive finance industry.
Semester 1 β Foundations of Finance and Investment
Introduction to Financial Markets and Investment Principles
Corporate Finance and Investment Analysis
Financial Accounting and Reporting
Quantitative Methods for Financial Decision Making
Semester 2 β Advanced Finance and Investment Strategies
Portfolio Management and Asset Allocation
Financial Risk Management and Derivatives
Global Financial Markets and Economic Policy
Capstone Project in Finance and Investment
Graduates of the Master of Science in Finance and Investment will be well-prepared for careers in financial analysis, portfolio management, investment banking, and financial consulting. Career paths include investment analyst, financial risk manager, portfolio manager, corporate finance advisor, and financial consultant. Graduates can work in investment banks, asset management firms, private equity, hedge funds, and corporate finance departments, applying their expertise in investment strategies, financial modeling, and risk management to drive financial performance and investment decisions.
The University of Leeds offers a specialized Master of Science in Finance and Investment that combines advanced financial theory with practical investment strategies. This program is designed for those looking to deepen their knowledge of global financial markets, investment analysis, and risk management. Students will gain hands-on experience in portfolio management, asset allocation, and financial modeling, preparing them for high-level roles in finance and investment. The on-campus format provides access to expert faculty, cutting-edge financial tools, and opportunities for networking with industry professionals, ensuring that graduates are ready to lead in the dynamic finance sector.
For further information, please contact the admissions office at:
Phone: +44 (0)113 243 1751
Email: admissions@leeds.ac.uk
Address: University of Leeds, Woodhouse Lane, Leeds LS2 9JT, United Kingdom