The MSc in Corporate Finance at Queen Mary University of London is a comprehensive, rigorous programme designed to equip students with a thorough understanding of the key concepts and techniques of corporate finance. The course provides a strong foundation in the principles and practice of corporate finance, portfolio management, and the principal institutions of the financial sector. Course Content: The key areas of learning in the module encompass topics such as Corporate Finance, Risk Management, Commercial and Investment Banking, and Financial Derivatives. The programme also offers an introduction to empirical finance and accounting research methods. Key Modules: The key modules for the course include Corporate Finance, Portfolio Management, Commercial and Investment Banking, Financial Derivatives, Empirical Finance, and Financial Econometrics. Future Careers: Graduates from this programme can pursue careers in a variety of sectors such as investment and commercial banks, brokerage firms, financial data providers, asset managers, hedge funds, venture capitalists, ratings firms, multinational companies, and many more. This programme is also excellent preparation for Ph.D. programs in finance. For more information on this course, please visit the official course page.