MSc in Finance and Risk
Programme Code: TMFIRI
Department: Finance
For students starting this programme of study in 2025/26
Guidelines for interpreting programme regulations
Paper |
Course number, title (unit value) | |
---|---|---|
| ||
Paper 1 |
FM403 Management and Regulation of Risk (1.0) |
|
Paper 2 |
FM439 Asset Markets for MSc Finance and Risk (0.5) |
|
| ||
And course(s) to the value of 0.5 unit(s) from the following: |
||
FM442 Quantitative Methods for Finance and Risk Analysis (0.5) # |
||
Papers 3 & 4 |
Courses to the value of 2.0 unit(s) from the following: | |
|
||
FM421 Finance for Mergers, Buyouts and Corporate Restructurings (0.5) # |
||
FM445 Portfolio Management (0.5) |
||
FM477 International Finance A (0.5) |
||
SO4C9 Risk Governance (0.5) |
||
Or any other paper with the approval of the Programme Director. |
Footnotes
# means there may be prerequisites for this course. Please view the course guide for more information.
A: Paper 1, FM403: Includes dissertation.
Note for prospective students:
For changes to graduate course and programme information for the next academic session, please see the graduate summary page for prospective students. Changes to course and programme information for future academic sessions can be found on the graduate summary page for future students.