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MSc Programs in Financial Analysis 2021 in London in United Kingdom

The MSc, or Master of Science, is a popular Master’s degree designation. Internationally recognized, the MSc is typically awarded after about five to six years of rigorous study in what is usually a science-based field.The solvency, profitability, liquidity and stability of a company are determined through financial analysis. Students of this course of study learn to glean needed information thr… Read more

The MSc, or Master of Science, is a popular Master’s degree designation. Internationally recognized, the MSc is typically awarded after about five to six years of rigorous study in what is usually a science-based field.

The solvency, profitability, liquidity and stability of a company are determined through financial analysis. Students of this course of study learn to glean needed information through financial statements, then provide the resulting data along with their conclusions and possible recommendations to management.

London is the capital of UK, the most populous region and where royal family lives. It has the largest concentration of higher education in Europe with 412 thousand students at 43 universities.

Request Information MScs in Financial Analysis in London in United Kingdom 2021

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The University of Law Business School Postgraduate
London, United Kingdom

The MSc Financial Risk Compliance provides a comprehensive, globally focused understanding of the risk management tools, ranging from enterprise-wide risk management practices ... +

The MSc Financial Risk Compliance provides a comprehensive, globally focused understanding of the risk management tools, ranging from enterprise-wide risk management practices to specific techniques and requirements in the financial industry sector. The programme provides a comprehensive introduction to the financial services industry, exploring the broader economic environment and how it influences financial markets. It provides in-depth knowledge of financial products including equities, bonds, derivatives and investment funds. It also examines types of risks faced by businesses and risk management practices within financial institutions, namely market, credit and counterparty risks. -
MSc
Full-time
12 - 18 months
English
Campus
 

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