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University of Bristol (Mumbai Campus)

Mumbai, Maharashtra, India

MSc Finance and Investment

The MSc Finance and Investment at the University of Bristol Mumbai Enterprise Campus, is designed for ambitious graduates aiming to excel in the global financial services industry. Combining analytical rigour with practical experience, the programme provides a comprehensive understanding of corporate finance, asset pricing, and quantitative methods that underpin financial decision-making worldwide.

You’ll engage with essential concepts in modern finance while developing the practical skills required by today’s employers. The programme includes exposure to professional platforms such as Bloomberg, Refinitiv Eikon and Capital IQ, and emphasises hands-on work with real market data, case studies and applied projects. These learning activities are designed to reflect current practices in financial markets and investment management, providing you with valuable insights into market behaviour and decision-making dynamics.
Delivered by leading academics and informed by cutting-edge research, the MSc combines theory, data analysis, and strategic insight to help you navigate the evolving world of global finance. The curriculum also reflects India’s fast-growing financial ecosystem, from digital banking to fintech innovation and investment management, ensuring your expertise is both globally relevant and locally applicable.

Intakes

  • Aug

Application Processing Time in Days: 20

Minimum English Language Requirements

English Level Description IELTS (1.0 -9.0) TOEFL IBT (0-120) TOEFL CBT (0-300) PTE (10-90)
Expert 9 120 297-300 86-90
Very Good 8.5 115-119 280-293 83-86
Very Good 8 110-114 270-280 79-83
Good 7.5 102-109 253-267 73-79
Good 7 94-101 240-253 65-73
Competent 6.5 79-93 213-233 58-65
Competent 6 60-78 170-210 50-58
Modest 5.5 46-59 133-210 43-50
Modest 5 35-45 107-133 36-43
Limited 4 32-34 97-103 30-36
Extremely Limited < 4 < 31 < 93 < 30

Job Opportunity Potential

Future roles could include:

  • Investment Banking Analyst
  • Financial Consultant
  • Portfolio Manager
  • Risk and Compliance Officer
  • Corporate Finance Associate
  • Quantitative Analyst
  • FinTech Strategist

Admission Requirement / Eligibility Criteria

  • India: An average overall grade of 60-70% in a quantitative subject, grade depending on the undergraduate institution.
  • An upper second-class honours degree (2.1, 60% or higher) in a quantitative subject or an international equivalent.
  • Quantitative subjects include: Accounting and Finance, Actuarial Sciences, Computer Science, Data Science, Economics, Engineering, Finance, International Economics and Trade, Maths, Physics or Commerce (with specialism in Accounting/Finance/Accounting and Finance/Economics).
  • If your degree subject is not listed above, you will typically need an upper second-class honours degree (60% or higher) or an international equivalent with three units of mathematics with 60% or above (or an international equivalent) in each unit.

English Language Requirements :

Profile B:

  • Standard XII Certificate Examination with a minimum English score of 80% for CISCE/CBSE, or 95% for Gujarat, Karnataka, Maharashtra, Tamil Nadu, and West Bengal state boards.
    (taken no more than 7 years before the start date of the programme) OR
  • IELTS: 7.0 overall with 6.5 in all skills
    (taken no more than 2 years before the start date of the programme).

 

For More Information Please Contact To Our PSA Counselor.

 

  • Course Type: Full Time
  • Course Level: Masters/PG Degree
  • Duration: 01 Year  
  • Total Tuition Fee: 2200000 INR
    Average Cost of Living: 500000 INR /year
    Application Fee: N/A
This Institution is not directly represented by us and applications / visa support (to them) attract a nominal charge
Disclaimer: GR updates the information on this page from time to time; however, there may have been more recent updates. Please refer to the university website for the latest information.