King’s College London, England

Master in Finance (Asset Pricing)

England

The Master in Finance (Asset Pricing) at King’s College London, England is a program for international students taught in English.

Introduction

King's College London, England is a distinguished institution with a long academic tradition dating back to 1829, offering a broad portfolio of 378 programs across disciplines. Situated in central London, King’s provides access to world-leading research, clinical partnerships and cultural resources that enhance both classroom learning and extracurricular engagement. Its historic campus and modern facilities create a stimulating environment for intellectual growth and professional networking.

International students at King’s benefit from comprehensive support services, including visa guidance, academic advising and tailored orientation activities to ease the transition to life in London. The college’s strengths in research and professional education open doors to internships, collaborations with industry and connections to major cultural and health institutions across the city. Student societies and cultural events further enrich campus life.

For prospective students seeking a rigorous, globally connected education, King’s College London offers depth of study and real-world opportunities in the heart of England’s capital. Careful planning around program selection, funding options and practical matters such as accommodation will help international applicants maximize their experience. King’s reputation, resources and location make it an attractive choice for those aiming to combine academic excellence with career-focused opportunities.

About the Program

The Master in Finance (Asset Pricing) at King’s College London is a one-year program for students with a Bachelor's degree. It is taught in English and focuses on finance and asset pricing.

The curriculum includes subjects like financial markets and instruments, helping students develop skills in data analysis and financial modeling. Students will also learn about portfolio management and risk assessment through hands-on projects.

Graduates can pursue careers as Financial Analysts, Portfolio Managers, or Risk Managers in the finance sector. They can also work as Investment Bankers or Asset Managers, applying their knowledge of asset pricing and financial markets.

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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