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Investment and Financial Risk Management, BSc (Hons)

City, University of London, United Kingdom

 
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Subject ranking

Marketing
UK / CUG
2nd
Business Administration
UK / ARWU
3rd
Management
UK / ARWU
5th

Costs

Course feesS$32.8K / year
Entertainment, books
food & rent
S$24.4K / year
Beer S$10
MacDonalds S$13
Cinema S$20
Coffee S$6
TotalS$57.2K / year

Entry requirements

A Level AAA
Diploma 3.6
International Baccalaureate 35

Scholarships

British Chevening Scholarships
100% for tuition and living expenses
Limited quantity

Information

Course
Code
N390
Upcoming
Intakes
Sep 2024
Course
Website (External)
Pathway
Programmes
See pathways
University
Information

Duration

3 years
Graduate
2027
About the course

The BSc (Hons) Investment and Financial Risk Management degree is delivered by Bayes Business School (formerly Cass), one of Europe’s leading business schools. Part of City, University of London, Bayes is ranked amongst the top 6 business schools in the UK*.You’ll study every aspect of the discipline, from managing global investment portfolios to asset trading. All within a broad sweep of rigorous academic learning encompassing equity markets, bond trading, risk management, derivatives, hedging, investment banking and many other broad areas of risk and investments.The BSc (Hons) Investment and Financial Risk Management degree benefits from the existence of the Centre for Asset Management Research within the Business School. This Centre houses a set of academics focused on doing research on issues in fund management, hedge funds and equity trading. The members of the Centre are also frequent consultants to financial firms and regulators. Thus, the staff on the course combine academic and theoretical expertise with strong ties to industry and current working knowledge of the challenges and opportunities facing financial institutions.All Bayes undergraduate students will also choose from a range of professional experience modules so that when you graduate you are equipped with the knowledge and experience to make you an attractive candidate to employers. You will also take a career-focused module suitable for your chosen course to help you prepare for entering the job market.On this course you’ll gain the skills to succeed in global financial markets in roles including portfolio management, security analysis, investment management, trading, equity and bond trading, hedge fund analysis and derivatives pricing and structuring.A key part of this degree is the opportunity to gain professional work experience or a period of study abroad. Students are eligible to apply for a one-year paid work placement which takes places during the third year of a four-year sandwich degree course. Our students enjoy a wide range of opportunities in business areas such as corporate finance, operations, sales and trading, prime brokerage and hedge funds.Students can also apply to spend a term (or one year) studying abroad at a range of prestigious partner universities including the University of Virginia and Bocconi University, Italy. Studying abroad enables students to expand their international network of contacts, to develop a wider perspective in the world of global finance and to enhance their career prospects.The BSc (Hons) Banking and International Finance degree is taught alongside the BSc (Hons) Finance and BSc (Hons) Investment and Financial Risk Management. Students can switch between degrees at any time during the first one-and-a-half years of the course (subject to availability of places).*Financial Times European Business School Ranking 2021