BSc Financial Risk Management with a Year in Industry

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Risk Management plays a central role in the modern financial industry, by modelling the potential costs that could arise from changes in the markets or the broader economy. Using advanced statistical techniques, estimates can be made of the value at risk if extreme events were to occur. This allows financial institutions to take pre-emptive action such as hedging their exposure using derivatives contracts. Students on the Financial Risk Management degree will learn theories exploring market, credit and enterprise risk, whilst gaining expertise in the statistical software that is used to measure these risks. There is an integrated placement year, which allows students to gain valuable practical experience working in a professional environment.

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Use our magical AI system, to check your admission chances for this course.
Tuition fee
Apply by
Start date
Duration
Campus
Mode of study
Fees and deadlines depend on the selected options. Fees and currency conversion are approximate.
Offer response
4 - 6 weeks after your application is submitted