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EasyUni Sdn Bhd

Level 17, The Bousteador No.10, Jalan PJU 7/6, Mutiara Damansara 47800 Petaling Jaya, Selangor, Malaysia
4.4

(43) Google reviews

+60142521561

EasyUni Sdn Bhd

Level 17, The Bousteador No.10, Jalan PJU 7/6, Mutiara Damansara 47800 Petaling Jaya, Selangor, Malaysia
4.4

(43) Google reviews

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MSc Finance and Risk

Course overview

Statistics
Qualification Master's Degree
Study mode Full-time, Part-time
Duration 1 year
Intakes September
Tuition (Local students) RM 45,029
Tuition (Foreign students) RM 65,856
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Admissions

Intakes

Fees

Tuition

RM 45,029
Local students
RM 65,856
Foreign students

Estimated cost as reported by the Institution.

Application

Data not available
Local students
Data not available
Foreign students

Student Visa

Data not available
Foreign students

Every effort has been made to ensure that information contained in this website is correct. Changes to any aspects of the programmes may be made from time to time due to unforeseeable circumstances beyond our control and the Institution and EasyUni reserve the right to make amendments to any information contained in this website without prior notice. The Institution and EasyUni accept no liability for any loss or damage arising from any use or misuse of or reliance on any information contained in this website.

Entry Requirements

  • Degree: Minimum 2.2 Honours in Business, Finance, Economics or in the Applied Mathematical Sciences with some Economics courses.

Note: We would normally expect you to have Grade C in GCSE English and Maths. 

English Language Requirements:

  • Overall IELTS 6.0 with a minimum of 6.0 in Writing, Speaking, Reading and Listening (or recognised equivalent).

Curriculum

On this course you will combine a master’s-level knowledge of key theories, concepts and literature with a practical understanding of data collection and analysis. Throughout your studies you will gain insights into how governments and other organisations address financial risks.

You will learn about international finance, investment management and portfolio theory and will also complete a dissertation based on a relevant topic that you choose. Plus, you will be able to choose an optional module from a choice of Applied Quantitative Finance, Financial Derivatives or Islamic Banking and Financial Regulation.

To develop your practical skills you will learn how to use the Bloomberg trading tool, giving you an advantage over students on similar courses across London, as you will have experience on exactly the same tools that financial managers use on the job.

We will also prepare you for the financial services industry qualifications, which you will take after the course, including the Chartered Financial Analyst exam, which is recognized throughout the world, and the UK-specific Investment Management Certificate.

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