Finance, Investment and Risk
BA · Glasgow Caledonian University · 4 years
About this course
Finance, investment, and risk sits at the core of how capital markets function and how organisations manage the uncertainty that is inseparable from economic activity. Finance covers the principles by which firms and individuals raise, allocate, and value capital. Investment examines how assets are analysed, portfolios are constructed, and market behaviour is interpreted. Risk management addresses the identification, measurement, and mitigation of financial and operational risks, which is an increasingly central concern for banks, insurance companies, and corporate treasuries alike. At Glasgow Caledonian University, this four-year full-time programme develops in-demand skills and expertise across finance and financial services. You will study how finance affects local and global economies, and how financial decisions impact every aspect of commercial and social life. The programme cover
Where its graduates go
The 5 largest scored destinations, covering 55% of graduates; the headline also reflects the subject baseline.
- 72 / 100Information Technology Professionals · 5% of graduatescards →
- 60 / 100Business, Research and Administrative Professionals · 15% of graduatescards →
- 55 / 100Administrative occupations · 10% of graduatescards →
- 52 / 100Finance Professionals · 10% of graduatescards →
- 50 / 100Business and Financial Project Management Professionals · 15% of graduatescards →
The tabs above carry the rest: modules and satisfaction (The Course), where you'd live and what it costs (Student Life), the full pay story (Pay & Outcomes), and easier ways into the same subject (Alternatives).