The Master's in Financial Risk Management will help students prepare for the Financial Risk Manager (FRM) certification, the most widely recognized certification for financial risk management, offered by the Global Association of Risk Professionals (GARP). Gain mastery over concepts and skills that impact every aspect of risk management in financial and non-financial organizations:
* Hedging and managing risk in manufacturing, retailing and other non-financial organizations
* Financial securities markets that are important for risk managers: equity markets, bond markets and futures and options markets
* Managing portfolios in financial institutions
* Measurement and management of risk in financial institutions
* Modeling risk in financial institutions
What people are saying:
Write a comment