Educads
Bachelor's Degree Business & Management Full Time

Investment and Financial Risk Management

at City St George's, University of London Β· United Kingdom

Duration

4 years

Intake

Fall, Spring

Mode

Full Time

Tuition

On request

Campus

London

About this program

The Investment and Financial Risk Management Bachelor's Degree at City St George's, University of London delves into the intricate world of financial markets, investment strategies, and risk assessment. This program is designed to equip students with essential knowledge and practical skills necessary to navigate the complexities of investment management and financial risk. Through a robust curriculum, students explore various financial instruments, market behaviors, and investment theories while uncovering the analytical techniques used to evaluate risks associated with investments.

Students engage in a hands-on learning experience that combines theoretical knowledge with practical application. The course structure includes modules covering topics such as portfolio management, asset valuation, financial derivatives, and risk analysis. In addition, students participate in case studies and simulation exercises that provide real-world contexts to their learning. This approach ensures that graduates are not only knowledgeable about financial principles but are also adept at employing analytical and technological tools for effective decision-making in real-world scenarios.

By studying in London, a major global financial hub, students have the unique opportunity to immerse themselves in a rich cultural environment while gaining insights from financial institutions and industry professionals. The program fosters critical thinking, problem-solving, and quantitative skills, preparing students for a successful career in today's dynamic financial landscape.

Entry requirements

To apply for the Investment and Financial Risk Management program, prospective students typically need to possess:

  • A high school diploma or equivalent, with a strong emphasis on mathematics and analytical subjects
  • Strong performance in relevant subjects such as Economics, Business Studies, or Mathematics
  • Passion for finance, investment, and risk management demonstrated through personal statements or relevant experiences
English:

Applicants are generally required to demonstrate proficiency in English. This is typically evidenced through an IELTS score of around 6.0 or a TOEFL equivalent, ensuring that students can engage effectively with the course material and participate in class discussions.

International students:

International students must secure a student visa to study in the destination country. This generally involves providing documentation such as proof of acceptance into the program, financial statements, and proof of accommodation. It is crucial for applicants to check the official requirements for their specific situation as these can vary.

Career outcomes

  • Investment Analyst
  • Risk Manager
  • Financial Consultant
  • Portfolio Manager
  • Compliance Officer
  • Quantitative Analyst
  • Treasury Analyst
  • Credit Analyst

Have a question?

Join the discussion β€” ask other students and get answers.

πŸ’¬ Start discussion on Investment and Financial Risk Management

Related programs

Bachelor's Degree Business & Management

Agriculture with Business

Anglia Ruskin University

⏱ 3 years πŸŽ“ Full Time
Professional Business & Management

Agribusiness MBA

Anglia Ruskin University

⏱ 1 year πŸŽ“ Full Time
Master's Degree Business & Management

Business Analytics

Aston University

⏱ 1–2 years πŸŽ“ Online

Stay updated

Get admission alerts, scholarship deadlines & university news β€” free.