Programs / United Kingdom / Coventry University / MSc Investment, Risk and Trading

MSc Investment, Risk and Trading

Coventry University 🇬🇧 United Kingdom
MSc Master English

Course Overview

Course Overview This course is designed for aspiring professionals seeking a career in investment, financial trading, or risk management. It provides a comprehensive education in both traditional and alternative asset classes while equipping you with the practical technical skills demanded by the industry. Key Program Highlights Master analysis of diverse asset classes, from equities and forex to cryptocurrencies and private equity Learn comprehensive trading techniques and active risk management modeling strategies Develop hands-on expertise in Python programming for financial analysis and automation Gain practical experience with industry-standard tools like the Bloomberg Terminal Build a robust skill set for high-demand roles in the modern financial sector

Available Intakes

March 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 18,600
May 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 18,600
July 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 18,600
November 2026
CampusCoventry University - London
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 18,600
January 2027
CampusCoventry University - London
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 18,600
March 2027
CampusCoventry University - London
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 18,600
May 2027
CampusCoventry University - London
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 18,600
July 2027
CampusCoventry University - London
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 18,600

Subject Areas