Demand is growing worldwide for experts who have the technical skills to measure and manage financial risk. This Masters degree enables you to meet these requirements, equipping you with the skills to respond to emerging developments in the global capital and money markets.
You’ll gain comprehensive knowledge of essential topics including the dynamics of financial markets, the causes and effects of financial risk, and professional practices for measuring and managing portfolio risk. You can also choose optional modules allowing you to specialise in areas such as financial reporting and analysis, international banking, security investment analysis, and discrete time finance.
Learning from highly qualified teaching staff involved in world-class research in financial risk management, you’ll test your knowledge in genuine business scenarios during practical case study exercises and simulations. Thanks to our excellent links with industry and commerce, you’ll gain an understanding of the latest challenges in financial markets worldwide.
Extra Notes
* NOTE : The Tuition Fee is subject to change Semester wise, as such for exact Tuition Fee kindly see the Website of the respective University. * NOTE : Pathways : Students who want to pursue a Graduate Degree through a particular University but are unable to meet the university requirements for the GPA, GRE/GMAT or English Language scores, have to take up an additional academic and language support i.e. pathways in order to ensure the admit and study at the desired University.