The MSc Investment Management at King’s College London develops advanced expertise in portfolio management, asset valuation, financial markets, and investment decision-making. Students study investment analysis, corporate finance, derivatives, portfolio theory, behavioural finance, quantitative methods, risk management, and sustainable investing.
Practical projects, financial modelling, and market simulations strengthen analytical and strategic skills for evaluating investment opportunities. The programme combines academic theory with industry applications to prepare graduates for careers in investment management, asset management, wealth management, financial analysis, private equity, and institutional investment firms.