Loughborough University, England

Master in Finance and Investment

Loughborough, United Kingdom

The Master in Finance and Investment at Loughborough University, England is a 1 year long program for international students taught in English.

Introduction

Loughborough University presents a learner-focused environment with extensive academic and campus resources tailored to international students. The institution highlights modern campus facilities, strong research and teaching support, and a wide-ranging library collection that supports coursework and independent study. Students benefit from well-equipped laboratories, collaborative study spaces and a library designed to meet the demands of diverse academic programs.

The university promotes a vibrant campus life through many clubs, societies and sports opportunities, encouraging students to balance academic work with extracurricular engagement. Student organizations cover arts, entrepreneurship, sports and cultural exchange, providing platforms for leadership, networking and social integration. On-campus catering, leisure facilities and landscaped areas create a welcoming atmosphere for study and relaxation.

International opportunities and partnerships enhance global mobility and employability, with pathways for study abroad, industry links and internship experiences that connect students with multinational employers. Teaching is delivered in modern facilities across multiple campuses, and student services support orientation, accommodation and academic success. Overall, this university aims to combine strong academic provision with an active campus community to prepare graduates for global careers.

About the Program

The Master in Finance and Investment at Loughborough University is a 1-year program for students who want to learn about finance and investing. This Master's degree is taught in English and is a great choice for students who have a Bachelor's degree and want to work in the finance industry.

The curriculum includes subjects like Principles of Finance, Financial Markets and Institutions, and Financial Reporting and Company Performance. Students also learn about Portfolio Management, Derivatives and Risk Management, and Applied Financial Econometrics. The program includes hands-on components like a Financial Market Project, which helps students develop skills in areas like data analysis and financial modeling.

Graduates of this program can work as Financial Analysts, Investment Managers, or Portfolio Managers. They can also work in roles like Risk Managers, or Financial Traders. Employers in industries like banking, investment, and finance often hire graduates with this degree. Students who complete this program can help businesses and organizations make informed investment decisions and manage risk.

Similar Programs You Can Apply To

Direct application via Global Admissions is not available for this program. Browse similar partner programs below or visit the university's site to apply directly.

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