Masters Degree in Investing: Program Summaries

Oct 12, 2019

Essential Information

A master's degree in investment management is designed to build upon basic business and accounting principles to provide students with training in cutting-edge financial theories and management strategies. The goal of this program is to teach students to develop, manage and market investment products for corporate or individual clients and make sound investment decisions. While enrolled in a master's degree program in investment management, students spend classroom hours learning about the financial tools that allow them to make informed investment decisions. They also gain a high-level understanding of accounting, economics, finance and quantitative methods, and they learn how to apply principles of finance and research to real-world investment portfolios.

Programs are often designed for working professionals, with evening, weekend and online course offerings available. Depending on whether a student is studying full- or part-time, programs can take less than a year or up to eighteen months to complete. Some master's degree programs in investing are designed specifically for students who have just completed a bachelor's degree program in finance, accounting or a related field. Other master's programs in the field are offered at a more executive level and are available for working professionals looking to advance in their careers in finance. In these cases, both a bachelor's degree and some working experience are the prerequisites for admission.

Master's Degree in Investment Management

The courses in a master's degree program in investment management are designed to prepare students for the real world of investing and portfolio management. Some of these might include:

  • Microeconomics and macroeconomics
  • Financial management
  • Corporate finance
  • Equity analysis
  • Fixed income investing
  • Risk management

Popular Career Options

Graduates of these programs may consider several careers in the investment management industry, including the following jobs:

  • Portfolio manager
  • Municipal bond analyst
  • Equity analyst
  • Private investment analyst
  • Director of investments

Employment Prospects and Salary Info

The U.S. Bureau of Labor Statistics (BLS) categorizes portfolio managers and financial risk analysts under the broader career umbrella of financial analysts. According to the US Bureau of Labor Statistics (BLS), employment for financial analysts is expected to grow 6% between 2018 and 2028, which is as fast as the national average for all occupations. The median annual wage for financial analysts was $85,660 in 2018.

Continuing Education

Master's degree program in investment management prepare graduates to apply for professional certifications in financial planning. Many students who graduate from a master's degree program in investment management go on to earn Certified Financial Advisor (CFA) credentials. In order to earn this designation, students must have the necessary work experience and pass an examination. With this credential, workers may increase their odds of promotion and earn higher salaries.

Pursuing a master's degree in investment management provides students with theoretical foundations in business and economics, as well as experience in financial analysis, so they are ready to pursue advanced careers in the field when they graduate.

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