Yearly Tuition fees | |||
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Year | Fee | ||
1st Year | MYR 58,700 |
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The MSc in Finance and Investment is a highly sought-after postgraduate program in Malaysia. As a rapidly developing nation, Malaysia serves as a hub for financial services in Southeast Asia, making it an appealing choice for students interested in finance and investment studies.
This specialized program aims to cultivate students’ analytical thinking. Participants will gain in-depth practical knowledge in core financial components, focusing on the three primary categories of capital investment activities: equity markets, fixed interest markets, and derivative markets.
Applicants must have graduated from an approved university.
For other qualifications and certificates please contact our educational consultants or submit your application for Admission assessment.
pursue careers in financial advisory, investment management, marketing, mergers and acquisitions, procurement, research, risk assurance, tax consultancy, trading, business development, and academia.
The course is made up of 120 credits of core and elective taught modules, plus a 60-credit dissertation.
In semester one, you will take modules in capital market analysis, corporate finance and quantitative research methods for finance.
In semester two, you will take two further required modules on derivative investment and fixed interest investment. You will also complete two elective modules from any of the four topics from Behavioural Economics and Decision Making, International Finance, Managing Innovation and Entrepreneurship, and Consulting Skills.
After completing your semester two modules, you will undertake a 15,000-word dissertation, with one-to-one support from an expert academic supervisor. This will demonstrate your ability to undertake independent research in the area of finance and investment.
Semester one
Semester two
Semester Three