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QS Rank:

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601

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Kingston University London

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Kingston upon Thames

United Kingdom

The Master of Science in Investment and Financial Risk Management at Kingston University London is designed to equip students with the essential knowledge and skills required to navigate the complexities of the finance and investment landscape. This robust program delves deep into the intricacies of financial markets, providing students with a comprehensive understanding of both investment strategies and risk management frameworks. Students will engage with core principles of finance, quantitative analysis, investment theory, and the dynamics of financial markets, all while gaining insights from leading industry experts.

The curriculum is meticulously structured to combine theoretical foundations with real-world applications. Core modules cover critical topics such as Portfolio Management, Financial Risk Analysis, and Investment Strategies, ensuring that graduates are well-equipped to tackle the various challenges posed by financial markets. Moreover, specialized modules allow students to explore areas such as Derivatives Markets and Quantitative Finance, fostering analytical skills that are highly sought after in the industry. The program also emphasizes practical learning, with opportunities for case studies and hands-on projects that simulate real investment scenarios.

Kingston University prides itself on its esteemed faculty, composed of academics and industry practitioners who bring a wealth of knowledge and experience to the classroom. The teaching methodology incorporates a blend of theoretical instruction and practical application, ensuring that students not only learn essential concepts but also how to implement them in real-world contexts. Faculty members actively engage in research, and many are affiliated with leading financial institutions, providing students with invaluable insights into current industry practices and trends. This connection to industry enhances the learning experience and prepares students for successful careers in finance.

Research opportunities are abundant within the program, with access to extensive financial databases, cutting-edge analytical software, and dedicated research centers. Students are encouraged to engage in research projects that align with their career interests, allowing them to explore emerging trends in finance and investment. The university also fosters collaboration with financial institutions and organizations, facilitating internships and networking opportunities that can significantly enhance students’ professional profiles.

Upon graduation, students can look forward to diverse career pathways in prominent sectors such as investment banking, asset management, and financial consultancy. The program’s strong emphasis on employability is evident in its high graduate placement rates, with alumni successfully securing roles as Portfolio Managers, Financial Risk Managers, Investment Analysts, and more. The median starting salary for graduates is approximately £35,000, reflecting the program's effectiveness in preparing students for lucrative and fulfilling careers.

Why Study Investment and Financial Risk Management at Kingston University London
Kingston University London stands out as a premier institution for students pursuing a career in finance and investment for several reasons.

  • A popular choice for international students, fostering a diverse and inclusive community that enriches the learning experience.
  • Learn from top-tier faculty members who are not only educators but also industry experts, allowing for real-time insights and mentorship opportunities.
  • Access to high-end laboratories and advanced technological resources that facilitate in-depth research work and practical learning experiences.
  • Excellent placement programs that connect students with leading companies, enhancing employability and career advancement post-graduation.
  • A vibrant campus life with numerous extracurricular activities, networking events, and workshops designed to build essential soft skills and professional connections.
  • Comprehensive career support services, including resume workshops, interview preparation, and access to an extensive alumni network for job opportunities.

The application process for the Master of Science in Investment and Financial Risk Management requires prospective students to submit specific documentation. Essential requirements include a valid academic transcript, a well-crafted resume highlighting relevant experiences, and an academic letter of recommendation that underscores the candidate’s capabilities.

Additionally, non-native English speakers must demonstrate proficiency through standardized language tests such as the TOEFL, IELTS, or PTE. Minimum score thresholds are set to ensure that all students possess the necessary language skills to thrive in a rigorous academic environment.

The curriculum not only prepares students academically but also equips them with the tools to succeed professionally. Students can expect to engage in immersive learning experiences that challenge their critical thinking and analytical skills, ultimately preparing them to contribute meaningfully to the finance sector.

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Duration

12 Months

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Median Salary

$35,000

Ranking

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#801

The World University Rankings

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#601

QS World University Rankings

Class Profile

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Class Size

20

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Average Age

25

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Average Work Experience

2 Years

Diversity

Others:

5%

South East:

30%

West Midlands:

5%

London:

45%

South West:

15%

East of England:

10%

Career Outcomes

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Median Earnings After Graduation

$35,000 / year

Prospective Job Roles

Portfolio Manager

Financial Risk Manager

Investment Analyst

Quantitative Analyst

Derivatives Trader

Risk Consultant

Data Scientist

Financial Risk Analyst

Actuary

Credit Analyst

Top recruiters

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Eligibility Criteria

English Proficiency Tests

  • TOEFL

    88

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  • IELTS

    6.5

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  • PTE

    59

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Application Requirements

Here's everything you need to know to ensure a complete and competitive application—covering the key documents and criteria for a successful submission.

  • intake

    Transcript

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    Academic LOR

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    Resume

Application Deadlines

Fees and Funding

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Tuition Fees

$17,500 / year

Funding Options

External Sources - Scholarships

Department Funding

To apply, submit a complete application for admission within a few weeks of the priority deadline for best results.

Scholarships

The Kingston University London MSc in Investment and Financial Risk Management is a highly regarded programme that provides students with the skills and knowledge they need to succeed in the financial services industry. The programme covers a wide range of topics, including financial markets, risk management, and investment analysis. Students will also have the opportunity to complete a dissertation on a topic of their choice. The MSc in Investment and Financial Risk Management is offered by the School of Business and Management at Kingston University London. The school is ranked in the top 100 business schools in the world by the QS World University Rankings. The MSc in Investment and Financial Risk Management is a highly competitive programme, and applicants are typically required to have a strong academic record and a passion for finance. The programme is also offered in a part-time format, which is ideal for students who are already working in the financial services industry.
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    The University of London

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    The University of Cambridge

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    The University of Oxford

FAQs

  • An MS degree at Kingston University London can usually be completed in 2 years. However, many universities offer a 1-year master’s specialisation as well. You can explore the official Kingston University London website to check the course/ degree duration.

  • One can apply for scholarships to pursue their international education at Kingston University London by: 1. Looking for country-specific scholarships by contacting the specific scholarship institutions. 2. Applying to or finding out if any subject-specific scholarships are available from the university website/ department.

  • A student can complete Investment and Financial Risk Management at Kingston University London with in 12.

  • The annual tuition fee to pursue Investment and Financial Risk Management at Kingston University London is GBP 17500.

  • The submission of these scores mainly depends on the type of degree/ course selected at the Kingston University London. For example, the GMAT test is required to take admission to an abroad graduate management program, the LSAT is required during an abroad Law School admission process, and more. Therefore, check Kingston University London requirements before submitting a score.

  • Investment and Financial Risk Management can help Indian/ international students gain: 1. Quality and Practical Education 2. Global Recognition 3. International Exposure 4. Amazing Job Opportunities 5. Experience of Lifetime and more

  • If a student fulfils all the eligibility criteria and admission requirements of Kingston University London, they can easily pursue Investment and Financial Risk Management. The basic eligibility criteria include the following: 1. A GPA above 3 2. Well-written Statement of Purpose 3. An impressive Letter of Recommendation 4. A Work Experience Certificate (if required) 5. A Statement of Financial Proof 6. Academic Transcripts 7. Valid Visa, etc.

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