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Master of Science - Investment Management
Program Description
This Masters programme provides a practical knowledge of portfolio management and quantitative finance, together with an applied set of courses looking at industry structure and trends. During this MSc programme students will develop expertise in a range of specialized areas. This includes trading strategies, portfolio and fund management, alternative investments, ethics in investment management and risk management, among others. Students will also have the opportunity to apply this knowledge in practice through the use of simulations, the latest financial software, case-based learning and take part in the portfolio management challenge designed for MSc Investment Management students. Students will benefit from professional guest speakers drawn from the global investment industry in the City of London.
Requirements
Listed below are the documents required to apply for this course.
4-Year Bachelor's Degree
75.0 %
Total: 6.0
Reading
5.5
Writing
5.5
Listening
5.5
Speaking
5.5
Total: 88.0
Reading
18.0
Writing
17.0
Listening
17.0
Speaking
20.0
Total: 69.0
Reading
59.0
Writing
59.0
Listening
59.0
Speaking
59.0
Total: 125.0
Reading
0.0
Writing
0.0
Listening
0.0
Speaking
0.0
This program offers conditional admissions For conditional admission, you are required to provide English proficiency scores: Min IELTS overall: 6.5 Min Listening: 4.5, Min Reading: 4.5, Min Speaking: 4.5, Min Writing: 4.5
Program Level
Program Length
Tuition fee
Application fee
Upcoming Intakes
- Oct 2025
- Oct 2026