- Level
- Postgraduate
- Duration
- 1 year full-time 18-20 months full-time with professional practice Up to 2 years full-time with professional placement
- Mode
- Full-time
- Subject
- Accounting
- Location
- United Kingdom
- Next intake
- SEP 2026
Overview
This course is for you if you have an interest in a career in investment, financial trading or risk management in the financial sector. Develop your expertise in both traditional asset classes such as equity, forex and fixed income, and alternative asset classes such as commodities, infrastructure, hedge funds, private equity and cryptocurrencies amongst others. Learn comprehensive trading techniques and active risk management modelling. Master Python programming and Bloomberg terminal utilisation.
Entry requirements
| Degree | 2:2 · Subjects: any related discipline · or above |
|---|
Fees
International students: £19,500
UK students: £11,700
UK/Home: £11,700
International: £19,500
Start dates
September 2026 November 2026 January 2027 March 2027 May 2027 July 2027
Application deadline
Rolling admissions – apply year-round
Campus
- All locations Coventry University London, United Kingdom