Master Quantitative Financial Economics - Máster en Economía Financiera Cuantitativa
The fascinating world of banking and financial markets is more than just headlines, it is the lifeblood of our collective global economies. Our MSc is designed for graduates with an economics-based degree, who are seeking to train themselves technically for their career in finance. Combining generic and specialist financial modules, the programme offers a comprehensive grounding in financial markets and banking from an economics perspective.
A good Honours degree (2:1 or higher) or equivalent in Economics or a related subject. Minimum subject requirements are intermediate level Microeconomics, Macroeconomics, Econometrics, Theory of Finance and Mathematics (or Statistics).
We accept a range of qualifications from different countries.
Standard English language requirements apply (IELTS 6.5 with no less than 6.0 in any band).
Econometrics with Financial Applications (30)
Economics of Financial Markets (10)
Options and Derivatives (10)
Theory of Finance (20)
Topics in Money and Banking (10)
Choose 20 credits from the following (credits are given in brackets):
Corporate Finance (10)
Development Economic Policy (10)
Experimental and Behavioural Economics (10)
International Banking and Finance: Regulation and Supervision (10)
International Trade Policy (10)
Monetary Policy (10)
Natural Resource Economics (10)
Political Economy and Economic Policy (10)
Careers in Business is a dedicated service for postgraduate Business School students. We’ll help you in all aspects of your career management, from planning your job-seeking strategies, applying for jobs, preparing for interviews and assessment centres and developing your essential employability skills. At the start of your programme you will receive an email from our team, giving details of how you can access Careers in Business Online. Please get in touch to find out how our Careers in Business team can support you.