The MSc Investment and Financial Management course offered by the University of East Anglia adopts a big picture approach, covering a variety of finance-related topics and providing analytical tools and concepts required in a wide range of finance-related careers. The course is ideal for individuals aspiring to work in the finance sector, including investment banking, securities sales and trading, foreign exchange, hedge funds, private banking, credit products, financial and credit risk management and consultancy.Course Content: The course covers a variety of finance-related topics such as corporate finance, asset pricing, portfolio management and more. The program is designed to develop a comprehensive understanding of financial and corporate-related phenomena in an increasingly globalised financial world. This includes exposure to the practical use of quantitative methods in finance and the application of financial theory to the practices of financial markets.Key Modules: Some of the key modules include Portfolio Management, Pricing Financial Derivatives, Corporate Financial Management, Empirical Finance, and Multinational Corporate Financial Management.Accreditations: The MSc Investment and Financial Management course is accredited by both the Chartered Institute of Securities and Investment (CISI) and the Chartered Financial Analyst (CFA) Institute.Future Careers: Graduates of this program can expect to work in the finance sector in roles including investment banking, securities sales and trading, foreign exchange, hedge funds, private banking, credit products, financial and credit risk management and consultancy.For more information on this course, please visit the official course page.