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Master of Finance and Investment Management

Enhance your capabilities and expertise in finance and investment management, and be equipped to apply best practice across a wide range of industries.

 

Volatile markets, changing demographics, emerging technologies, and increases in retirement savings, public sector debt and geo-political risks. The need for specialist knowledge to face these emerging challenges has never been greater among banks, superannuation, insurance and the public sector.

 

In a globally connected and dynamic environment, there’s demand for finance professionals who understand responsible investing and lending, and can embed best practice when managing financial objectives and risks.

 

During this specialist master’s degree, you’ll gain exposure to innovative investment strategies involving both traditional and alternative asset classes.

 

By analysing real case studies and working on industry projects, you’ll learn how to apply your understanding of:

  • financial modelling
  • portfolio management
  • derivatives
  • fixed income
  • public sector financing
  • equities
  • venture capital
  • real estate and infrastructure within a variety of industry contexts.

 

After completing this program, your ability to navigate, analyse complex data and make informed decisions across multiple asset classes will add value to any organisation.