Finance is changing. Are you ready to lead that change? In an era shaped by global volatility, shifting regulations, and technological disruption, the ability to understand and manage financial risk is more critical than ever. If you're curious about how markets behave, how investors make decisions, and how financial institutions navigate uncertainty, this course will give you the tools to thrive. Our MSc Finance, Investment and Risk degree is designed for ambitious individuals looking to build advanced expertise across the financial landscape. You’ll explore the workings of global markets, learn to analyse and manage complex investment portfolios, and gain a deep understanding of credit risk, derivatives, and financial modelling. |
These courses are intended as guidelines. Speak to your guidance counsellor to see what courses are offered at your school.
Canadian students typically need to have completed a Bachelor Degree (Honours)/Baccalauréat/Professional Degree at an accredited university or college in finance, accounting, economics, business, mathematics, natural sciences 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. |
* We make every attempt to provide accurate information on prerequisites, programs, and tuition. However, this information is subject to change without notice and we highly recommend that you contact the school to confirm important information before applying.