The BA (Hons) Finance course at the University of Stirling helps students understand the world of finance and the economic climate. It is primarily designed to equip students with the valuable set of skills required in the banking and finance sector. The course made in Stirling delivers a wide understanding of both the economic environment in which portfolio managers trade, as well as the processes investors use to maximise returns on investment. Course Content: The course provides a comprehensive module in financial institutions and markets, portfolio theory and financial management. Alongside specialist finance classes, you’ll also study compulsory topics such as economics and accounting, while choosing from a selection of optional modules in management and business law.Key Modules: The core focus is given to modules such as Financial Institutions and Markets, Financial Management Skills, Portfolio Theory and Investment Analysis, Strategic Financial Management, and International Corporate Finance.Accreditations: The course is accredited by the Chartered Insurance Institute (CII) as well as the Chartered Banker Institute, providing significant exemptions from professional examinations from the Chartered Banker Diploma. Additionally, it also recognized by the Chartered Institute for Securities and Investment (CISI) for its professional qualifications framework.Future Careers: Graduates of this course are prepared for careers in banking and finance, as well as roles in corporate finance, financial planning, insurance, investment banking, money management, and real estate.For more information on this course, please visit the official course page.
The BA (Hons) Finance course at the University of Stirling helps students understand the world of finance and the economic climate. It is primarily designed to equip students with the valuable set of skills required in the banking and finance sector. The course made in Stirling delivers a wide understanding of both the economic environment in which portfolio managers trade, as well as the processes investors use to maximise returns on investment.
Course Content: The course provides a comprehensive module in financial institutions and markets, portfolio theory and financial management. Alongside specialist finance classes, you’ll also study compulsory topics such as economics and accounting, while choosing from a selection of optional modules in management and business law.
Key Modules: The core focus is given to modules such as Financial Institutions and Markets, Financial Management Skills, Portfolio Theory and Investment Analysis, Strategic Financial Management, and International Corporate Finance.
Accreditations: The course is accredited by the Chartered Insurance Institute (CII) as well as the Chartered Banker Institute, providing significant exemptions from professional examinations from the Chartered Banker Diploma. Additionally, it also recognized by the Chartered Institute for Securities and Investment (CISI) for its professional qualifications framework.
Future Careers: Graduates of this course are prepared for careers in banking and finance, as well as roles in corporate finance, financial planning, insurance, investment banking, money management, and real estate.
For more information on this course, please visit the
official course page.