Course Overview
Course Overview This internationally-focused Master's degree prepares you for a high-level career in global finance or academia by combining rigorous theory with practical, research-driven expertise. You will develop advanced skills in quantitative analysis and empirical research to make effective, evidence-based financial decisions. The program provides exceptional preparation for roles in commercial banking, asset management, consulting, and government institutions. Key Program Highlights Master cutting-edge quantitative techniques for in-depth empirical investigations in finance Develop research-oriented expertise in investment, risk management, banking, and corporate finance Gain hands-on experience with industry-standard tools like Thomson Reuters Eikon, Datastream, and BankOrbis Learn from leading academics within a highly-respected Finance Group Complete a substantive dissertation to tackle a significant issue and develop essential research skills
Available Intakes
September 2026
CampusNorwich Campus
CityNorwich
ModeFullTime
Duration12 Months
FeeGBP 24,300