The MSc Finance and Risk provides a comprehensive understanding of the various facets of risk, risk management, and regulation.
Upper second class honours (2:1) degree or international equivalent in any discipline and good quantitative skills.
Successful applicants usually have a solid undergraduate background in one or more of the following areas: Economics, Finance, Mathematics, Statistics and Accounting. However, we also welcome applications from candidates with other backgrounds. If you don't have sufficient background in these areas, we may require you to take one or more LSE Summer School courses.
GMAT or GRE is required for all applicants without a UK undergraduate degree (GMAT strongly preferred).
For fees and funding options please visit website to find out more
The School recognises that the cost of living in London may be higher than in your home town or country, and we provide generous scholarships each year to graduate students from the UK, EU and overseas.
This programme is eligible for needs-based awards from LSE, including the Graduate Support Scheme, and for 2026/2027 MSc Finance and Risk Excellence Scholarships
Please see our website
For modules please see our website
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