MSc Financial Risk Management

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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
Backlogs accepted
This course accepts backlogs
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Course Overview

This MSc in Financial Risk Management provides a rigorous, industry-focused education designed to launch your career in finance. The program delivers a comprehensive command of quantitative analysis, portfolio management, and advanced risk evaluation techniques. As an Academic Partner of the Global Association of Risk Professionals (GARP), the curriculum is expertly tailored to prepare you for the FRM exams and a successful professional future.

Key Program Highlights

  • Direct preparation for the prestigious Financial Risk Manager (FRM) professional exams
  • Hands-on experience with 16 Bloomberg terminals in our dedicated Trading Room
  • Master advanced quantitative skills in econometrics, mathematical techniques, and programming
  • Conduct industry-focused research through a practical dissertation project
  • Develop critical expertise in investment analysis, portfolio management, and problem-solving

Requirements

The requirements may vary based on your selected study options.





















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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
Backlogs accepted
This course accepts backlogs