The MSc Finance and Investment at Brunel University London develops advanced expertise in corporate finance, investment analysis, portfolio management, financial markets, derivatives, risk management, and international finance. Students learn to evaluate investment opportunities using quantitative methods, financial modelling, and industry-standard analytical tools.
The programme combines academic theory with practical case studies, enabling students to understand global financial markets and strategic investment decision-making. Graduates are prepared for careers in investment banking, asset management, financial consultancy, wealth management, securities analysis, corporate finance, and multinational financial institutions.