University of Birmingham, England

Master in Financial Economics MSc

United Kingdom

The Master in Financial Economics MSc at University of Birmingham, England is a 1 year long program for international students taught in English.

Introduction

The University of Birmingham, chartered in 1900, is a large, research-intensive redbrick university located in Edgbaston. It offers a broad spectrum of undergraduate and postgraduate programmes and has a reputation for multidisciplinary research, substantial campus investment and strong academic staffing. With more than 34,000 students, including a sizeable international community, Birmingham combines historic strengths with modern facilities and a global outlook.

Research and teaching span the arts, sciences, engineering, medicine and social sciences, supported by major investments in campus infrastructure and academic appointments. The university promotes interdisciplinary collaboration through flagship fellowships and research initiatives, and many courses provide opportunities for placements, industry engagement and overseas study on its international campuses. Student support services include extensive academic development, career services and wellbeing provision tailored to an international cohort.

Life at Birmingham blends a vibrant campus with access to the city's cultural and professional resources, enabling students to pursue extracurricular activities, volunteering and professional networking. The institution’s global partnerships and growing research profile open doors for international collaborations and career pathways. Prospective international applicants should carefully check entry requirements, funding and application deadlines and contact the university’s international office for guidance on visas, scholarships and arrival planning.

About the Program

The Master in Financial Economics MSc at the University of Birmingham is a one-year program for students who have a Bachelor's degree. It helps students develop skills in economics and finance. The program has several key advantages, including a strong focus on research and teaching.

The curriculum includes modules such as Econometrics, Economics of Financial Markets, and Financial Econometrics. Students also learn about Macroeconomics, Options and Derivatives, and Theory of Finance. The program includes a dissertation and optional modules like Development Economic Policy and Experimental and Behavioural Economics. These modules help students develop skills in data analysis and financial modeling.

Graduates of this program can work as Financial Analysts, Economists, or Investment Bankers. They can also work in roles like Risk Manager or Portfolio Manager. Employers in the finance and banking industries often hire graduates of this program. The skills and knowledge gained in this program can help students succeed in these careers.

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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