Finance

University of Kent
Undergraduate PhD Full-time 3 Years Accounting and financeEconomicsFinance

About this course

PhD students within the Finance group addresses academically interesting and practical contemporary issues in finance and banking. Staff research interests include: derivatives pricing and risk management; financial econometrics; international banking; financial regulation; corporate finance; asset pricing and real-estate modelling.

PhD students may join the Centre for Quantitative Finance, which researches contemporary issues in financial markets requiring a quantitative approach. The main role of the centre is to carry out research that fills the gap between academia and current problems faced by the industry, whether in conducting comparative studies on pricing and risk management methodologies, or designing improved financial products that can serve the wider community better, or simply being the first stop for policy makers, hedge funds or finance houses where they could commission quantitative studies on topics they do not have expertise on.

Study Options

This course is available in 2 study options:

Full-time Shown above

Duration: 3 Years

Qualification: PhD

Location: Canterbury

Part-time

Duration: 5 Years

Qualification: PhD

Location: Canterbury

Career Prospects

Graduates from this course typically go into the following occupations:

4124 Finance officers
1131 Financial managers and directors
3531 Brokers
3534 Financial accounts managers
2421 Chartered and certified accountants
3533 Financial and accounting technicians

Course Details

Qualification
Doctor of Philosophy - PhD
Study Mode
Full-time
Duration
3 Years
Start Date
2025
Academic Year
2025
Campus / Location
Canterbury
Scheme
Undergraduate
Subjects
Accounting and finance, Economics, Finance