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Preparing your educational journey
Degree Type Master's Degree
Delivery Method On-campus
Duration 12 months
Country United Kingdom
Language English

Program Overview

['Essentials of Financial Risk Management', 'Derivatives', 'Quantitative Methods', 'Investments and Portfolio Management', 'Credit Risk', 'Portfolio Theory and Asset Pricing Models', 'Contemporary Fund Management', 'Financial Statement Analysis', 'Fixed Income Markets', 'Corporate Finance', 'Financial Data Modelling']

Career Opportunities

Career information is not specified for this program. Contact the university for details about career prospects.

Program Curriculum

Detailed curriculum information is not available. Please check the university website or contact them directly for the most up-to-date course information.

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Admission Requirements

Detailed admission requirements are not specified. Common requirements may include:

  • Bachelor's degree or equivalent
  • Academic transcripts
  • Letters of recommendation
  • Statement of purpose
  • Language proficiency (e.g., TOEFL, IELTS)

For specific requirements, please contact the university directly.

Tuition & Financial Information

Tuition Fee

GBP 18400

About University of Kent

University of Kent logo

University of Kent

Canterbury, United Kingdom

University of Kent is a distinguished institution of higher education committed to academic excellence, innovative research, and preparing students for leadership in their chosen fields. The...

University Profile

Application Information

  • Language English
  • Duration 12 months