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Investment Analysis and Risk at Aston University, Birmingham - UCAS

Course summary

Delivered by the triple-accredited Aston Business School, the MSc Investment Analysis and Risk programme offers a comprehensive journey into finance and investment. Focused on practical application in trading and corporate settings, it integrates hands-on experience with Python programming and Bloomberg terminals. This course covers crucial areas such as security valuation, portfolio management and global market dynamics. The curriculum balances practical skills with theoretical insights into investment valuation, trading techniques and corporate finance. Improving our students’ learning experience and wellbeing is at the centre of everything we do, and that is why we are implementing an innovative learning approach known as block teaching. This will enhance our students’ educational journey and emotional wellbeing. How you will learn Our MSc Investment Analysis and Risk programme has been carefully designed to align with the demanding standards and dynamic nature of the global financial industry. This programme is tailored to equip you with an extensive understanding of finance and investment, combined with practical skills and analytical prowess, setting you up for a successful and rewarding career in the financial sector. This programme has a strong practical element. You’ll gain hands-on experience working with real-time financial, accounting and economic data, thanks to our dedicated trading room facility and industry leading software. This exposure will give you the confidence and technical capability to gain a competitive edge in the job market. In the Aston Global Advantage module, you will enhance your employability and global citizenship through experiential learning and reflective practice. Dedicated employability support, skill-building workshops and diverse learning streams will prepare you for both academic and professional success. At the start of your course, you will be allocated a personal tutor who can offer individual study advice and guidance. You will also benefit from access to the University Library's extensive collection of over 25,000 books and electronic journals. What you will learn Our MSc Investment Analysis and Risk programme explores the complexities of financial markets, investment valuation and risk management, emphasising practical financial analysis skills. In the taught stage, you will develop a deep understanding of global financial market structures, investment decision-making models and risk mitigation techniques. You will gain proficiency in quantitative methods and learn to apply valuation techniques used in investment analysis, preparing you for strategic financial decision-making. This stage sets a solid foundation for your advanced research project and a successful career in finance. In the dissertation phase, you will complete a research project on a investment analysis and risk topic of your choice, showcasing your ability to conduct independent research with a clear consideration of ethics, theory and methods.

Assessment method

You will be assessed through a combination of written and oral examinations, class tests, individual and group coursework, projects, presentations and practical assessments.


Entry requirements

2:2 (lower second-class honours) degree or equivalent


Fees and funding

Tuition fees

No fee information has been provided for this course

Tuition fee status depends on a number of criteria and varies according to where in the UK you will study. For further guidance on the criteria for home or overseas tuition fees, please refer to the UKCISA website .

Additional fee information

Please see our website for details
Investment Analysis and Risk at Aston University, Birmingham - UCAS