Finance (Finance, Investment and Risk) – MSc

University of Kent

Canterbury, Surrey, UK
Finance (Finance, Investment and Risk) – MSc
Duration1 Year
LevelMasters Program
  • The MSc in Finance (Finance, Investment, and Risk) pathway develops students cognitive, critical, intellectual and research skills, plus relevant personal and interpersonal skills to interact in the real world of business and organizations
  • In today’s competitive global environment, employers are increasingly selective in their search for competent business and finance professionals
  • Master’s in Finance programs equip students with a solid background in financial principles and practices and help to cultivate students practical finance skills and real-world business knowledge
Fees componentsAmount
Tuition & fees2008116 INR
Hostel & Meals796654 INR
Transportation65923 INR
Books and Materials92292 INR
Total954869 INR

Entry Criteria

Class 12thNo specific cutoff mentioned
Bachelors55.0%
  • Applicants must hold a (2:2) high Second Class degree or a final CGPA of 5.5/10, or 55% in a finance, accounting, economics, business, mathematics or engineering related discipline
  • All applicants are considered on an individual basis and additional qualifications, professional qualifications and relevant experience may also be taken into account when considering applications
ExamsIELTS: 6.5
  • with a minimum of 6.0 in R&W; 5.5 in S&L

PTE: 62
  • with 60 in each subtest

Additional info
  • ELP waiver: 
    • Standard XII – if English medium school -70%
    • Standard XII – if non-English medium school - 80%
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