

The Investment Management Master’s program at the University of Surrey is designed to provide students with the skills and knowledge necessary to excel in the world of investment, finance, and banking. This one-year, full-time course covers key areas such as asset management, financial markets, portfolio management, and financial analysis, preparing students for leadership roles in investment firms, banks, and financial institutions.
Graduates will gain practical skills in managing investments and understanding market dynamics, making this program ideal for those aiming to pursue careers in asset management, hedge funds, or financial advisory services.
The Investment Management program covers essential topics such as financial markets, portfolio management, asset pricing, and risk management. Students will gain hands-on experience through case studies, group projects, and the use of industry-standard tools for financial analysis. The program also emphasizes the development of strategic thinking and decision-making skills necessary for success in the investment industry.
Graduates of the Investment Management program will be well-prepared for roles in investment banking, asset management, private equity, and financial consulting. Career opportunities include investment analyst, portfolio manager, financial advisor, and risk manager, with high demand in both global financial institutions and boutique firms.
The Investment Management program at the University of Surrey provides a strong foundation in both the theory and practical application of investment strategies. With access to expert faculty, strong industry links, and cutting-edge financial tools, students will be well-equipped to lead in the competitive world of investment management.
For further information, please contact the admissions office at:
Phone: +44 (0)1483 300800
Email: contentedite@surrey.ac.uk
Address: University of Surrey, Guildford, Surrey GU2 7XH, United Kingdom