MSc in Finance and Risk
Programme Code: TMFIRI
Department: Finance
For students starting this programme of study in 2024/25
Guidelines for interpreting programme regulations
Paper |
Course number, title (unit value) | |
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| ||
Paper 1 |
FM403 Management and Regulation of Risk (1.0) |
|
Paper 2 |
| |
FM439 Asset Markets for MSc Finance and Risk (0.5) |
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And course(s) to the value of 0.5 unit(s) from the following: |
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FM442 Quantitative Methods for Finance and Risk Analysis (0.5) # |
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Papers 3 & 4 |
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Courses to the value of 2 unit(s) from the following: |
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FM421 Finance for Mergers, Buyouts and Corporate Restructurings (0.5) # |
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FM445 Portfolio Management (0.5) |
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FM477 International Finance A (0.5) |
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SO4C9 Risk Governance (0.5) |
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Footnotes
# means there may be prerequisites for this course. Please view the course guide for more information.
A: Paper 1, FM403: Includes dissertation.
B: Papers 3 & 4: Any other paper with the approval of the Programme Director.
Note for prospective students:
For changes to graduate course and programme information for the next academic session, please see the . Changes to course and programme information for future academic sessions can be found on the .