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Queen's University Belfast MSc Risk and Investment Management
Queen's University Belfast

MSc Risk and Investment Management

Belfast, United Kingdom

1 Years

English

Full time

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GBP 23,100 *

On-Campus

* international fee

Introduction

You have an interest in risk management and financial regulation. You want a career in areas such as corporate risk, compliance, consultancy, or academia. You want exemptions from the Professional Risk Manager (PRM) exams

Studying risk and investment management looks at how organisations and investors should understand, evaluate and address relevant risks to maximise the chances of their objectives being achieved.

The programme equips students with the cutting-edge risk management tools and strategies used by leading financial firms and regulatory bodies. Academics who teach on this programme are at the cutting edge of their fields, many also have relevant industry experience.

Risk And Investment Management Highlights

Professional Accreditations

  • This course has an academic partnership with GARP (Global Association of Risk Professionals), helping prepare students for the Financial Risk Manager (FRM) examinations. This course is part of the PRMIA (The Professional Risk Managers' International Association) Risk Accreditation Program, giving students exemptions from Professional Risk Manager (PRM) exams I and II.

Industry Links

  • Students have the opportunity to hear from industry professionals who deliver guest lectures. Students have the opportunity to network afterwards.

World-Class Facilities

  • Certain classes are held in the Trading Room. Students have access to Bloomberg software, a market leader in financial news, data and analytics, which is used by many financial institutions. The Trading Room allows for an interactive and exciting learning environment that brings textbook theory to life.
  • Students may wish to join the Student Managed Fund, which seeks to achieve positive returns through superior stock selection using quantitative and qualitative fundamental analysis. This is a real money student-managed investment fund. The goal is to achieve consistent long term positive returns by optimally managing downside risk. The Fund seeks to mitigate risk through sufficient diversification and through a series of strict rules and procedures.

Student Experience

  • Students will use and have access to software such as R, Excel, Matlab, and databases such as Thomson one banker and Bloomberg.

Career Opportunities

Curriculum

Admissions

Program Tuition Fee

Scholarships and Funding

About the School

Questions