

The Master of Science (MSc) in Financial Economics at the University of Oxford is a 9-month, full-time, on-campus program designed for individuals seeking to gain advanced knowledge of economic theory and financial markets. The program provides students with a comprehensive understanding of financial economics, focusing on market behavior, investment theory, corporate finance, asset pricing, and risk management. It combines economic modeling and financial analysis to address the challenges of the modern financial world, including issues like global financial regulation, macroeconomic policy, and behavioral finance.
Oxford’s MSc in Financial Economics equips students with quantitative skills, theoretical frameworks, and practical tools necessary for analyzing financial markets and economic systems. This program is ideal for those looking to pursue careers in investment banking, financial consulting, asset management, or economic policy-making.
The MSc in Financial Economics offers an intensive and structured approach to studying the key components of financial markets and economic systems. The program begins with foundational courses in microeconomics, macroeconomics, and econometrics, providing students with the core tools needed to understand economic and financial interactions. In the second term, students will specialize in areas such as corporate finance, investment theory, and risk management, while also having the opportunity to explore behavioral finance and financial regulation. The program culminates in a research project or dissertation, where students apply their learning to solve real-world financial problems.
Graduates of the MSc in Financial Economics are well-prepared for careers in investment banking, asset management, financial consulting, and economic policy research. Many graduates work in financial institutions such as banks, hedge funds, or consulting firms, where they analyze markets, develop financial strategies, or advise clients on investment decisions. The program also prepares students for roles in government agencies or international organizations such as the World Bank or the International Monetary Fund (IMF), working on economic policy and financial regulation. With Oxford’s prestigious reputation and global alumni network, graduates have access to top-tier career opportunities in both finance and economics.
The MSc in Financial Economics at the University of Oxford offers a unique combination of economic theory and practical financial analysis in a world-renowned academic environment. Oxford’s renowned faculty, cutting-edge resources, and global network provide students with an ideal platform for developing expertise in the rapidly evolving field of financial economics. The program’s focus on both theory and real-world application ensures that graduates are well-prepared for leadership roles in financial markets and economic policy. Oxford’s prestigious reputation also opens doors to career opportunities with top employers in finance, consulting, and government.
For further information, please contact the admissions office at: