Entry Requirements : A degree with an overall grade of 50% - 55% OR 6/10 - 7/10, depending on the degree institution, containing core modules relating to Economics or Finance (see also key modules) and (ideally) in the final two years of study. Mathematics (calculus), quantitative finance/methods or Econometrics (probability, statistics) Key modules Asset valuation/pricing, Introduction to banking, Behavioural finance, Corporate Finance, Derivative instruments / Futures / Options, Econometrics, Economics/Macroeconomics/Microeconomics, Empirical Finance, Exchange rates and FX markets, Finance (NOT Financial Reporting), Financial Econometrics, Financial Economics, Financial Intermediaries, Instruments and Markets, Financial Markets and Monetary Policy, Financial Modelling, Foundations of Finance, International Banking, International Trade/Finance, Investment and Securities, Mathematics, Pricing of Securities in Financial Markets, Operational Research, Political Economy, Portfolio Analysis, Risk Management, Statistics