The MSc Investment and Finance course provided by Queen Mary University of London is a comprehensive program designed for students who wish to develop a high-level understanding of investment and finance in an international context. The course provides theoretical concepts and practical methods for financial decision making, as well as detailed knowledge about financial markets.Course Content: This course is divided into three parts: compulsory modules, optional modules, and a written dissertation. The compulsory modules focus on essential components of finance and investment, encompassing areas such as mathematical techniques, international finance, portfolio management, and more. The optional modules provide students with a chance to delve deeper into specific areas that may be of interest. Finally, students will end the programme with a written dissertation based on an original piece of research in finance or investment.Key Modules: Compulsory modules include Mathematical Techniques in Finance, Introduction to Asset Pricing, and Portfolio Management. Optional modules are chosen from a wide array of choices including Financial Engineering, Corporate Finance, and International Finance.Future Careers: The MSc Investment and Finance course prepares its students for a vibrant career in fields such as commercial and investment banking, risk management, consultancy, and for roles such as Fund Manager, Stockbroker, Investment Analyst, and Financial Consultant.For more information on this course, please visit the official course page here.