Key information
- Faculty
- Faculty of Engineering Sciences
- Teaching department
- Ïã¸ÛÁùºÏ²ÊÖÐÌØÍø School of Management
- Credit value
- 15
- Restrictions
-
Module is only available to students on the following programmes:
MSc Management (Finance pathway)
SOM Postgraduate Affiliates and Leuven Affiliates
MSci Management Science (4th year only)
- Timetable
-
Alternative credit options
There are no alternative credit options available for this module.
This module provides students with a theoretical and practical understanding of the principles of Investment Management in the current and future environments.
It sets out and considers the essence of decision-making and subsequent management processes relating to Investment in Equities, Bonds, ETFs, and Alternatives. It examines the nature of these assets and their roles and management within an Investment portfolio. It also explores the use of Derivatives within an Investing environment.
The module will make use of readings from relevant case studies as well as current news from the financial markets, always from the Investor perspective.
Module deliveries for 2024/25 academic year
Intended teaching term:
Term 2 ÌýÌýÌý
Undergraduate (FHEQ Level 7)
Teaching and assessment
- Mode of study
- In person
- Methods of assessment
-
60%
Exam
40%
Group activity
- Mark scheme
-
Numeric Marks
Other information
- Number of students on module in previous year
-
19
- Module leader
-
Paul Meadows
- Who to contact for more information
- mgmt-postgraduate@ucl.ac.uk
Intended teaching term:
Term 2 ÌýÌýÌý
Postgraduate (FHEQ Level 7)
Teaching and assessment
- Mode of study
- In person
- Methods of assessment
-
60%
Exam
40%
Group activity
- Mark scheme
-
Numeric Marks
Other information
- Number of students on module in previous year
-
170
- Module leader
-
Paul Meadows
- Who to contact for more information
- mgmt-postgraduate@ucl.ac.uk
Last updated
This module description was last updated on 19th August 2024.
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