University of Southampton Campus
Master of Science
On Campus
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University of Southampton
Southampton
United Kingdom

Risk and Finance

About

The Master of Science in Risk and Finance at the University of Southampton offers students a strong foundation in risk management and financial decision-making. This one-year, full-time program focuses on financial risk assessment, quantitative finance, financial derivatives, and market behavior. Students will develop the skills necessary to analyze, manage, and mitigate financial risks in dynamic market environments.

The program combines theory with practical experience, including access to financial databases, software tools, and real-world case studies. Graduates are prepared for careers in financial institutions, investment firms, insurance companies, and financial consulting, where they can manage risk and make informed decisions in fast-paced financial markets.

Key information

Duration
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Tuition fee
$46,902.00/year
Start dates & application deadlines
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More details
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Key Facts

  • Program Title: Risk and Finance
  • Degree Type: Master of Science
  • Duration: 1 year
  • Mode of Study: Full-time, On Campus
  • Application Deadline: 29 July 2026
  • Location: University of Southampton, United Kingdom
  • Field of Study: Finance
  • Language of Instruction: English

Program Structure

Semester 1 – Core Concepts in Risk and Financial Analysis
• Principles of Corporate Finance
• Quantitative Methods for Financial Decision Making
• Risk Management and Derivatives
• Financial Econometrics and Data Analysis

Semester 2 – Advanced Risk Strategies and Applied Research
• Portfolio Management and Asset Allocation
• Financial Modelling and Forecasting
• Global Financial Markets and Institutions
• Dissertation / Independent Research Project

Career Opportunities

Graduates of this program are equipped with the analytical and strategic skills necessary to excel in financial risk management, investment analysis, and corporate finance. The curriculum’s focus on quantitative tools and data-driven decision-making prepares students for roles such as risk analyst, investment strategist, portfolio manager, and financial consultant in banking, insurance, and asset management sectors. With the increasing complexity of global markets, professionals who can evaluate and mitigate financial risk are in high demand. Graduates may also work in regulatory organizations, consulting firms, or multinational corporations, applying their expertise to manage market volatility and safeguard financial stability. For those interested in research or academia, the program provides a strong foundation for doctoral studies in finance or econometrics, supporting long-term career growth in analytical and research-driven environments.

Why Choose This Program

This Master of Science at the University of Southampton offers a comprehensive exploration of financial theory, risk management, and quantitative analysis, tailored to the demands of modern finance. The program combines rigorous academic study with real-world application, using case studies and industry-relevant data to deepen understanding of global financial systems. Students learn from experienced faculty with professional backgrounds in finance and economics, gaining insights into both market dynamics and institutional risk practices. The integration of advanced statistical tools and financial modeling software ensures graduates can apply their knowledge to solve complex problems in investment and corporate settings. With its strong research environment and focus on practical expertise, the program provides the critical thinking and analytical precision needed to thrive in today’s competitive financial sector.

Contact Information

For further information, please contact the admissions office at:
Phone: +44 (0)23 8059 5000
Email: admissions@soton.ac.uk
Address: University of Southampton, Highfield, Southampton, SO17 1BJ, United Kingdom