Course summary
UCL School of Management's MSc Finance programme offers a world-class generalist training in finance. Building on the foundations of quantitative finance, it combines theory and practice in a variety of finance-related topics including corporate finance, portfolio management, asset pricing, derivatives, hedge funds, private equity, big data analysis, behavioural finance, investment banking, and fintech. The programme is very selective and attracts outstanding students from all over the world.
Entry requirements
A minimum of an upper-second class Bachelor's degree from a UK university or an overseas qualification of an equivalent standard in one of the following subjects: finance, mathematics, business, accounting, engineering, economic theory, science or statistics. Degrees from other disciplines may be considered if they are related to finance and/or mathematics. Applicants are not required to submit a Graduate Record Examinations (GRE) Graduate Management Admissions Test (GMAT) result as part of their initial application. Applicants with a degree that is not in a highly quantitative discipline are encouraged to submit a GMAT or GRE result. A score of at least 43/60 in the quantitative section of GMAT, or 162/170 in the quantitative section of GRE will add weight to an application. English level: Level 2
Fees and funding
Tuition fees
No fee information has been provided for this course
Additional fee information
Provider information
UCL (University College London)
Gower Street
London
WC1E 6BT