Course summary
The real estate sector plays a central and pivotal role within global and local economies – accounting for a major portion of the world’s total wealth and estimated at nearly four times world GDP. This course is a highly specialised and advanced finance course that will equip you with the knowledge, expertise and personals skills necessary to embark on a career in real estate investment. It adopts a cross-disciplinary and multidimensional approach, covering a breadth of issues that provide you with a holistic, global view and empower you to excel as a professional in this field. You’ll cover a breadth of issues (real estate investment, finance, asset valuation and the principles of portfolio optimisation across assets – including alternative investments) and you’ll critically discuss and reflect on the performance of markets in different contexts, examine valuation methods, explore analytics and quantitative methods and learn how to manage active portfolios. Classes are designed to simulate a real-life experience of the real estate investment industry. You’ll work with industry experts and live data using the Refinitiv Eikon platform (among others) – gaining analytic research skills, exploring current financial issues, discussing contrasting perspectives and developing new ways of interpreting data and formulating strategies. You’ll gain a spirit of intellectual curiosity and continual self-development, as well as developing your rational, emotional and social intelligence – enabling you to think and perform strategically when under pressure by estimating risk, maximising return and acting ethically. Graduate business-ready Studying in London, you’ll have access to financial networks, banking organisations and high-net-worth clients, as well as workshops and industry speakers – exposing you to new insights. You’ll graduate with the skills needed to trade, finance, invest in and manage real estate wealth effectively – making successful financial and managerial decisions. You’ll also understand the wider financial industry and work across international markets. This course is also accredited by the Chartered Management Institute (CMI) and, upon completion, you’ll receive a Level 7 Diploma in Strategic Management and Leadership Practice alongside your degree.
Modules
Core modules Module Title Corporate Finance Financial Statements Analysis & Valuation Investments and Portfolio Management Quantitative Research Methods for Finance Financial Econometrics International Finance & Economics Real Estate Business Environment Real Estate Finance and Investment Dissertation
Entry requirements
One of the following qualifications: Minimum second class UK undergraduate degree Equivalent international qualifications as deemed acceptable by the University Exceptional entry will be assessed on case by case basis by academic referral only based on: - An undergraduate degree lower than 2:2 plus one year of relevant work experience - No undergraduate degree but three years of relevant work experience We also welcome applications from candidates who do not meet the essential entry criteria outlined above. In order to be accepted for exceptional entry, you must: Hold a minimum of two years’ relevant work experience Provide a 1,000-word personal statement outlining your reasons for applying, and how your previous experience is of relevance to the programme you are applying for Be prepared to attend an interview with the Postgraduate Admissions Panel
Fees and funding
Tuition fees
EU | £23000 | Whole course |
International | £23000 | Whole course |
England | £23000 | Whole course |
Northern Ireland | £23000 | Whole course |
Scotland | £23000 | Whole course |
Wales | £23000 | Whole course |
Channel Islands | £23000 | Whole course |
Additional fee information
Provider information
Regent's University London
Inner Circle
Regent's Park
Westminster
NW1 4NS