Our Finance and Investment course will provide you with a critical understanding of advanced concepts and theories relevant to the finance and investment disciplines. Including their applied aspects, their nature and significance in the modern economic environment, and the role of financial supervision and regulation as a means to reduce systemic risk and protect consumers, depositors and investors.
You will also be introduced to current techniques, methods and technologies used in the finance and investment industries to measure, price, eliminate the risk associated with various financial assets, and efficiently allocate capital to the economy.
Both financial and non-financial firms are increasingly considering environmental, social, and governance (ESG) risks. The reasons range from market demands and stakeholder expectations, to expanding awareness of ESG issues and the regulations designed to address them. There are also financial and non-financial benefits to prioritising sustainability. Given this context, the programme enables you to develop and apply your knowledge and skills in a socially responsible, ethical and sustainable manner to the role of a finance or banking professional as well as in other business and management-related work environments in the UK and internationally.
Key features
- Understand the concepts and theories of finance and investment
- Explore all aspects of financial risk and financial institution regulation.
- You will critically assess developments such as cryptocurrencies and evaluate the implications of different technological approaches.
- Develop the skills needed to turn clients' investment objectives into trading strategies.
- Manage a simulated sub-portfolio on behalf of a client.