Start Dates
January, April, July, October.
4 Specialisations
Minimum: 18 months, maximum: 36 months
Master in Finance and Investments (Financial Risk Management)
Provided by
London School of Business and Finance
Awarded by
Examine the tools and techniques used in modern in business to protect and enhance a company’s value.
The Master in Finance and Investments (Financial Risk Management) equips you with the theory and practical core business skills for the expert application of investment frameworks, as well as providing you with a detailed investigation of financial risk management areas like security analysis, derivatives, and alternative investment strategies.

Learning Outcomes

Graduates of the Master in Finance and Investments (Financial Risk Management) will possess career-ready skills in:

  • Preparing domestic and international financial statements
  • Evaluating business management
  • Fixed income investments
  • Managing the risks associated with financial institutions
  • Maximising corporate value while reducing corporate risk 
  • You will study your programme with London School of Business & Finance Your programme modules and learning content are delivered via the Canvas study platform, and feature the following resources:​

    • Professionally produced video lectures created by leading business practitioners
    • A designated tutor who will provide support and feedback throughout your programme
    • Case studies and discussion questions to enhance your understanding of theory in context.
    • Downloadable e-books and free library resources to aid your assignment writing and research
    • Access to online forums where you can share and discuss new concepts with fellow students and professionals from around the world
    • UK undergraduate degree or equivalent - any subject area
    • English levels 5.5 IELTS (5.5 in all bands) or equivalent*
    • Relevant work experience is an asset, but no work experience is required
  • The Master in Finance and Investments degree syllabus considers today's challenging business environment and the financial expertise you need to excel within it. The 3 core and 3 elective modules will equip you with a deep understanding of investments and financial statements, corporate finance, financial econometrics and advanced asset pricing. The final research project will give you hands-on experience, ensuring your competence in a financial decision-making environment. Follow this link to see the full programme syllabus

  • Class Profile

    Information based on the class of 2015-2016 



Barbara Szwarc
Working at an investment bank and studying at the same time can be tricky - time management is key. The mobility of studying online is a big plus.
— Barbara Szwarc, Poland
Erick Canales
I decided to study online because I work full time as an accountant, and I know it’s really difficult to study formally in a classroom every day.
— Erick Canales, Mexico
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