MSc in Finance and Economics

M2: Investment Management


The Investment Management track is divided into four modules:

  • Joint Module (also compulsory for the tracks in Banking and Risk Management)
  • Investment Management Module
  • Incubator Module
  • Master thesis or internship and internship report

The joint module covers core topics on investment funds, financial regulation, and risk measures and management. The Investment Management Module delves deeper into investment and portfolio management, alternative investments, factor investing and taxation.

The so-called Incubator Module allows students to choose from trending and emerging topics in the financial sector, such as sustainable finance, FinTech or cyber security. Taught together with industry professionals, they deliver insights into innovative finance topics. Courses in this module will be continuously reviewed and updated.

Finally, students are given the option to complete either an internship or a Master thesis.

  • Internship: Students intern within the public or private sector for a minimum duration of 12 weeks (with the option to negotiate a longer placement depending on the availability of the student and hosting company/institution). Each student has to submit a field report. The topic of this report is coordinated between the student, the programme director of the Master, and the company supervisor. The Faculty of Law, Economics and Finance provides some support to students in obtaining a placement as well as drawing up internship contracts between the hosting institution and the student.
  • Master thesis: Topics for the Master thesis are coordinated together with the programme director and thesis supervisor. The Master thesis is an independent piece of research that should showcase a thorough understanding of the chosen topic as well as the appropriate research methodology.


Learning outcomes

  • Advanced, interdisciplinary knowledge within the academic field
  • Detailed understanding of different types of financial instruments, investors, the fund industry, market trends, and further aspects of investment management
  • Skills and tools to analyse problems and develop appropriate solutions based on well-founded scientific knowledge of theories, methods and instruments of the field
  • Critical thinking, ability to work independently and communicate on the subject using terminology, language and expressions of the field
  • Exposure to investment management industry, opportunities for professional networking


Successful completion of the first year (M1) of the MSc in Finance and Economics.

Equity & Fixed Income Analysis // Derivatives

Directeur d'études

M2: Investment Management

Programme at a glance:

  • 60 ECTS (30 ECTS per semester)
  • Second year track of the MSc in Finance and Economics
  • Taught in English (optional course in French)
  • Intake: max. 20 students per year
  • €200 per semester