Our specialised MSc Financial Economics and Econometrics includes in-depth theoretical and applied aspects of econometrics to complement subjects in financial markets and corporate finance.
Our course equips you with the right combination of skills for rigorous analysis to underpin high-level policy advice or decision making in the fast-moving financial sector. You master mathematical techniques and statistical analysis and acquire a deep knowledge of how financial markets work and how to analyse them.
You investigate topics including:
The theoretical foundations of econometrics
The analysis of financial market data
The economics of financial markets
We are top 5 in the UK for research, with over 90% rated as “world-leading” or “internationally excellent”. Much of this world-class research is related to policy, and we have strengths in the areas of:
Game theory and strategic interactions
Theoretical and applied econometrics
Labour economics
The quality of our work is reflected in our stream of publications in high-profile academic journals, including American Economic Review, Econometrica, and Review of Economic Studies.
Your future
After completing your masters, you may wish to extend your knowledge with a research degree – many Essex graduates decide to stay here for further study.
Alternatively, our course also prepares you for employment; recent surveys have shown that higher degree graduates are more likely to obtain jobs at professional or managerial level.
With the skills and knowledge, you acquire from studying within our Department of Economics, you will be in demand from a wide range of employers. We have excellent links with the research community, both in the UK and worldwide, and strong ties with the business/consultancy world, especially in London and other major financial centres.
Our graduates find employment in roles such as business and financial analysts, management consultants, government officials, and economists for banks and other financial organisations.