The Master of Science in Finance (MSc Finance) prepares you for the challenges of managing investments and risk in a rapidly changing world. The full-time, 16-month program provides a unique blend of rigorous training and real-world experience—with an emphasis on investment and risk management. We designed the MSc Finance to meet the increasing global demand for skilled risk management and investment management professionals. If you have a capacity for quantitative modeling and seek a career in financial risk management or investment management, this program is the ideal platform to jumpstart your future. Investment management and risk management streams allow you to acquire additional expertise in the areas of equity security analysis and strategic asset allocation, or enterprise risk management and accounting for financial instruments.