The choice of modules for the MSc in Financial Risk and Investment Analysis, and the design of their content, has been made in consultation the extensive Study Guide for the Level I CFA syllabus and, where possible, modules are structured to refer to well-known CFA texts. Furthermore, to fulfil the criterion of CFA programme partner, the content of the MSc has been designed to cover more than 70% of the CFA candidate body of knowledge.
All this means that by the time you graduate, you will have gained an excellent grounding in the knowledge and skills that you will require for passing the CFA level 1 examination.
Furthermore, we offer a brilliant package for assisted learning, giving additional help during the crucial months leading up to the December CFA examinations. Students that wish to take advantage of this package must be graduates of the Financial Risk and Investment Analysis MSc degree and must be registered for the December CFA level 1 examination. Prizes for outstanding students, to cover the CFA Level 1 examination fees, will be awarded.