QS Rank:

380

University of Kent

Kent
,United Kingdom

Program Name
Master of Science in Finance, Investment and Risk

Deadline
December 14th, 2023
Overview

The Master of Science in Finance, Investment and Risk at the University of Kent is a distinguished program designed to equip students with advanced knowledge and practical skills in the dynamic fields of finance and investment. This program has earned a prominent position among global universities, boasting a reputation for exceptional educational quality and a remarkable graduate employability rate. The curriculum is meticulously crafted to provide students with a profound understanding of financial theories, investment strategies, and risk management practices that are essential for navigating today's complex financial landscape.
As part of this comprehensive program, students will have the opportunity to engage with a diverse range of subjects, including portfolio management, investment analysis, financial modeling, and risk assessment. The interactive curriculum is designed to foster critical thinking and analytical skills, preparing students to tackle real-world financial challenges. Courses such as Financial Markets and Institutions, Investment Analysis, and Risk Management will be key components of the program, ensuring graduates are well-prepared for careers in finance and investment.
The faculty at Kent Business School comprises highly experienced professionals and academic experts with extensive backgrounds in finance and investment. Their teaching methodology focuses on a blend of theoretical insights and practical applications, fostering an engaging learning environment. Faculty members encourage collaboration and provide mentorship opportunities, allowing students to benefit from their wealth of knowledge and industry connections.
In addition to a rigorous academic structure, the University of Kent emphasizes research opportunities, enabling students to participate in cutting-edge projects and gain hands-on experience. The university's dedicated resources, including high-end laboratories and research facilities, allow students to explore various aspects of finance and investment, further enhancing their learning experience. Furthermore, partnerships with leading financial institutions provide students with access to invaluable internship opportunities, bridging the gap between academic theory and real-world practice.
Graduates of the Master of Science in Finance, Investment, and Risk program are well-positioned to pursue a wide array of career pathways in the finance sector. Potential job roles include Portfolio Manager, Financial Analyst, Investment Banker, and Risk Analyst. The program's emphasis on practical experience and industry connections has led to successful job placements in renowned firms such as JPMorgan Chase, Goldman Sachs, and Barclays, among others. Alumni consistently report high satisfaction with their education and the career opportunities it has afforded them.
Why Study Finance, Investment and Risk at University of Kent
- A popular choice for international students, fostering a diverse and inclusive community.
- Learn from distinguished faculty members who are leading experts in their fields, providing mentorship and guidance.
- Access to state-of-the-art laboratories and facilities for practical learning and research.
- Strong placement programs and industry partnerships facilitate job opportunities upon graduation.
- Opportunities to engage in significant research projects that contribute to the knowledge base of finance and investment.
- Scholarships and bursaries available for both domestic and international students, recognizing academic merit and financial need.
The program spans 12 months and is structured to allow for both full-time and part-time study options. With a comprehensive course structure, students will engage in core modules as well as elective options, allowing for a tailored educational experience. The rigorous curriculum ensures that graduates possess not just theoretical understanding but also practical skills relevant to today's financial services landscape.
Admission to the Master of Science in Finance, Investment and Risk requires applicants to hold a good honours degree (2:1 or above) in a relevant subject, such as economics, business, mathematics, or statistics. Candidates from non-relevant backgrounds may still be considered if they can demonstrate requisite knowledge and skills necessary for success within the program. The university also offers pre-Masters courses, which are ideal for those looking to enhance their qualifications before embarking on postgraduate study.
In terms of language proficiency, international applicants must meet specific English language requirements, with accepted tests including IELTS, TOEFL, PTE, and Duolingo. For example, a minimum IELTS score of 6.5 or a TOEFL score of 90 is required. This ensures that all students can fully engage with the course content and participate in classroom discussions effectively.
The estimated tuition fee for the program is £19,300 per year, making it a competitive option for those looking to invest in their future. Various funding options and scholarships are available, designed to support students who demonstrate both academic merit and financial need. Scholarships awarded by institutions like the CFA Institute and the Chartered Institute of Securities and Investment further enhance the affordability of this prestigious program.
Upon completion of the Master of Science in Finance, Investment and Risk, graduates can expect to find themselves well-prepared for lucrative career opportunities in various sectors. The program not only focuses on academic excellence but also prioritizes industry connections and internships, further bolstering student employability. Graduates have reported an average base salary of £38,000, with many entering high-demand roles in reputable firms globally.
Success stories from alumni highlight the transformative impact of the program, with many praising the quality of education, practical learning experiences, and the supportive faculty. As they step into the professional world, alumni of the University of Kent carry with them the knowledge, skills, and confidence to excel in their careers, making them valuable assets to employers in the finance sector.
In conclusion, the Master of Science in Finance, Investment and Risk at the University of Kent is an exceptional choice for aspiring finance professionals. With its robust curriculum, expert faculty, and strong industry connections, this program uniquely positions graduates for success in a competitive job market. Whether seeking to deepen existing knowledge or embark on a new career path, students will find that this program provides the tools and opportunities necessary to thrive in the dynamic world of finance and investment.

Duration
12 Months

Median Salary
$35,000
Ranking
#351
The World University Rankings
#380
QS World University Rankings

Intake
Fall ( Sept - Nov )
Class Profile


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Career Outcomes

Median Earnings After Graduation
$35,000 / year
Prospective Job Roles
Portfolio Manager
Financial Analyst
Investment Banker
Quantitative Analyst
Risk Analyst
Fund Manager
Financial Planner
Research Analyst
Actuary
Credit Analyst
Top recruiters










Eligibility Criteria
English Proficiency Tests
TOEFL
90
IELTS
6.5
PTE
62
DUOLINGO
110
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.
Transcript
Statement of Purpose
Academic LOR
Resume
Application Deadlines
Standard Deadline | |
---|---|
Fall | Dec 14, 2023 |
Fees and Funding

Tuition Fees
$19,300 / year
Funding Options
External Sources - Scholarships
Department Funding
Scholarships
The CFA Institute
The London Stock Exchange
The Chartered Institute of Securities and Investment
The University of Kent
FAQs
A student can complete Finance, Investment and Risk at University of Kent with in 12.
The deadline to submit an admission application for Finance, Investment and Risk at University of Kent is Application deadline Fall (Standard Deadline) - date - 14/12/2023
The annual tuition fee to pursue Finance, Investment and Risk at University of Kent is GBP 19300.
The submission of these scores mainly depends on the type of degree/ course selected at the University of Kent. 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 University of Kent requirements before submitting a score.
Finance, Investment and Risk 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 University of Kent, they can easily pursue Finance, Investment and Risk. 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.
An MS degree at University of Kent can usually be completed in 2 years. However, many universities offer a 1-year master’s specialisation as well. You can explore the official University of Kent website to check the course/ degree duration.
One can apply for scholarships to pursue their international education at University of Kent 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.
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