GraduateBusiness
Master of Finance and Investment Management
University of Queensland, Brisbane, QLD, Australia
About this program
The Master of Finance and Investment Management is a postgraduate program at UQ's St Lucia campus that develops specialist expertise for banks, superannuation and insurance funds, and the public sector, in an environment of volatile markets, changing demographics and geopolitical risk. Students learn responsible investing and lending and how to embed best practice in managing financial objectives and risks, through case studies and industry collaboration. Graduates work in investment and portfolio management, corporate finance, risk, banking and financial advice.
Cost & duration
English test scores
Verified study.uq.edu.au ↗
Course structure
1 term of coursework
- UQ calls subjects "courses" within this program. A sample of what you will study includes: Contemporary Financial Modelling and Analytics [Core course], Asset Pricing and Portfolio Management in Practice [Core course], Derivatives and Applied Risk Management [Core course], Quantitative Investment Strategies [Core course], Fixed Income and Public Financial Management [Core course], Private Equity and Venture Capital [Core course], Industry Project [Core course]. The exact course list and any core versus elective structure depends on the specialisation and study plan you choose, and is confirmed in the program's official course list at enrolment
Admissions
Relevant work experience Relevant work experience should typically be post-graduation and includes work in finance, funds management, debt/liquidity management, broking, bank/corporate treasury, trading, business partner (accounting, economics or finance), origination, and investment banking in various types of roles (front office, middle office and relevant support functions e.g. legal), or project management roles (with financial, venture capital or quantitative responsibilities).
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