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Masters
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Economics & Finance
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Global Finance
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MASTERS

Global Finance

Coventry University London
LondonUK
On campus
Full-time
€18,511.57total
 1787 Points
Duration
1 Year
Language
English

Program Description

This master’s course aims to provide you with a comprehensive programme of global finance, providing you with the knowledge and professional skills to develop a career in investment banking, portfolio management, corporate finance or risk management. You will also have the opportunity to gain practical career-ready skills from using our Bloomberg Trading Floor, and S&P Capital IQ computer lab.

This master's course is endorsed by both the CFA Institute and GARP, offering excellent preparation for an international career in finance, banking or risk management.

This course integrates both the CFA and FRM exam curricula into a single master’s programme, specialising in traditional financial analysis, portfolio management, alternative investment and financial risk-management. This programme is highly professionally relevant, producing well-equipped, career-ready graduates.

Entry Requirements

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Curriculum

Modules

Ethics & Quantitative Methods

Financial Reporting & Analysis

Trading Economics

Global Financial Market

Valuation of Equity and Fixed Income

Empirical Finance and Accounting Research Methods

Portfolio Management

Optional modules

Careers

You might work as a:

  • risk manager
  • credit risk analyst
  • chief risk officer
  • asset liability manager
More

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