Course summary
Combining core economics with relevant finance topics, this course is ideal preparation for a finance-focused career. If you are considering work in a financial institution, consultancy, ministry of finance or economics, or central bank, our MSc Economics and Finance course is for you. This specialist master’s brings together a compelling combination of training in advanced economic theory with relevant finance units; some of which are taught by our School of Management. Starting with a comprehensive refresher course in essential maths and economics skills, you will go on to explore how economics can be used to help address real financial issues such as the global financial crisis. You will use a deeper understanding of economic theory to gain additional insights into these events, and we will support your investigations with rigorous training in econometrics to allow you to interpret and analyse empirical data effectively. The dissertation will give you the chance to work with one of our experienced lecturers on a topic of your interest and apply your knowledge to a specific problem. Our students have explored topics as wide-ranging as the potential impact of Brexit on the UK financial services sector to the effects of microfinance on poverty reduction in rural China. We offer a series of dissertation workshops in semester two to help you develop your research skills. By the end of this course you will be able to:
- analyse economic and financial data and critically evaluate existing research
- understand the key issues surrounding major economic and financial debates and contribute to these
- apply economic concepts to specific economic and finance questions
- formulate an original research question and write at an academic level
- Senior Credit Analyst (Deutsche Leasing China)
- Analyst Developer (Schroders)
- Private Banking Executive (Barclays Wealth and Investment Management, London)
- Relationship Manager (JP Morgan Chase, China)
- Research Analyst (Farringdon Capital Management, Denmark)
- Assistant Vice President (HSBC Commercial Banking, Hong Kong)
- Head of Market Intelligence (Cisco Systems)
- Investment Specialist (TKB Investment Partners, Russia)
Modules
Semester 1
- Econometrics for economics and finance
- Financial economics
- Macroeconomics
- Microeconomics
- Plus one optional unit
- Financial econometrics
- Corporate finance
- Plus three optional units
- Economics: Masters dissertation
Assessment method
Learning
- Lectures
- Online resources
- Practical sessions
- Seminars
- Attendance
- Coursework
- Essay
- Multiple choice examination
- Online assessment
- Practical work
Entry requirements
You should have a bachelor’s honours degree or international equivalent, typically a 2:1 or above. To apply for this course, you should have an undergraduate degree in either economics, business, or an appropriate quantitative subject such as engineering, computer science, mathematics or physics. You are also expected to have obtained good marks in at least five core units comprising macroeconomics, microeconomics, econometrics (or statistics), and finance. These may be complemented by three other quantitative units such as calculus, probability, data analysis, business, accounting, game theory, operational research, or financial engineering. The units should preferably have been taken in your final two years of study. We may make an offer based on a lower grade if you can provide evidence of your suitability for the degree. If your first language is not English but within the last 2 years you completed your degree in the UK you may be exempt from our English language requirements.
English language requirements
View English language requirement
Fees and funding
Tuition fees
No fee information has been provided for this course
Additional fee information
Provider information
University of Bath
Claverton Down
Bath
BA2 7AY
Clearing contact details
Admissions Office
01225 383019