University of Oxford

Master in Financial Economics

Oxford, United Kingdom

The Master in Financial Economics at University of Oxford is a program for international students taught in English.

Introduction

The University of Oxford, located in Oxford, United Kingdom, is a historic institution that offers you a unique learning experience. Founded in 1096, it provides a rich academic environment with many advantages, including its renowned faculty, research opportunities, and diverse student body. You will be part of a community that values intellectual pursuit and independent study.

Oxford focuses on many subjects, including programs in engineering, business, and medicine, with a total of 254 programs available. Specifically, you can explore different fields through its various departments and research areas. English is the primary language of instruction, and you will have the opportunity to engage with leading scholars and Nobel laureates in your chosen field.

As a student, you will be based in Oxford, a city that offers a unique blend of history, culture, and entertainment. You will have access to modern facilities, including libraries, labs, and student clubs, which will enhance your learning experience. With 12,000 international students, you will be part of a global community, and the city's compact size makes it easy to get around and explore. Many opportunities for you include exploring the city's famous museums, attending cultural events, and participating in student activities that will make your time at Oxford truly unforgettable.

About the Program

The Master in Financial Economics at the University of Oxford is a full-time program, offering a Master's degree in English, lasting 9 months. This program provides students with international training in financial tools and techniques. The Saïd Business School finance faculty and the Department of Economics deliver the program.

The curriculum combines academic training with real-world applications, covering topics such as financial modeling, risk management, and investment analysis. Students develop skills in data analysis, financial modeling, and problem-solving, and learn how to apply these skills in different industries. The program includes tailored applications and lectures from leading financial recruiters.

Graduates can pursue careers as Financial Analysts, Investment Bankers, Risk Managers, Portfolio Managers, or Financial Consultants, working in banks, investment firms, or financial institutions. They can also work in corporate finance or asset management, applying their knowledge to make informed investment decisions and manage financial risks.

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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