MSc Financial Risk Management
Our MSc Financial Risk Management is designed to ensure that you gain a comprehensive, globally-focused understanding of risk management tools. The tools you’ll learn about range from enterprise-wide risk management practices to specific techniques and requirements in the financial industry sector.
We’ve designed this programme to provide a comprehensive introduction to the financial services industry, exploring the broader economic environment and how it influences financial markets. During your studies you’ll develop an in-depth knowledge of financial products including equities, bonds, derivatives and investment funds. You will also have the opportunity to examine types of risks faced by businesses and risk management practices within financial institutions, namely market, credit and counterparty risks.