Master of Science in Financial Risk Management
關於課程
Acquire the mathematical skills needed to analyze risk.
Develop an integrated risk-management perspective.
Prepare for prestigious certifications such as the FRM.
Lubin’s master’s degree in financial risk management provides you with a thorough understanding of financial risk management and the global aspects of risk analysis. Gain mastery over concepts and skills that impact every aspect of risk management in financial and non-financial organizations.
You will study topics such as equity, bond and derivative markets, management of portfolios, portfolio risk, the global aspects of risk analysis, and the financial securities markets that are important for risk managers, including equity markets, bond markets, and futures and options markets. The curriculum includes hedging and managing risk in manufacturing, retailing and other non-financial organizations, managing portfolios, and measuring, managing, and modeling risk in financial institutions.
Degree duration: 1.5 years
Degree intake date(s): September, January
Annual tuition fee: 27,180
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Entry requirements for 佩斯大學
Applicants to Pace University graduate degree and certificate programs must hold a bachelor's degree from an accredited college or university if post-secondary education was completed in the United States. Applicants who are currently in their senior year at an undergraduate institution may apply for admission, but acceptance will be contingent upon receipt of a final transcript indicating all senior year grades and receipt of the bachelor's degree. Applicants who have attended institutions outside of the U.S. must hold a degree equivalent to a U.S. bachelor's degree. TOEFL IBT - 90, IELTS - 7.0.
English language requirements
托福(TOEFL iBT)總分: 80.0
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