A Masters degree is an academic degree awarded to individuals who successfully denote a higher level of expertise. There are two main types of Masters - taught and research.
Risk management programs teach students about predicting and analyzing financial risks in order to identify, develop and implement various procedures and strategies to minimize or avoid the risks and their potential impact on an organization.
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This course is structured in a manner that the learner will receive dual certification, Postgraduate Advanced Diploma in International Business Management, awarded by Cambridge International Qualifications, UK and a Master of International Business Administration awarded by Guglielmo Marconi University, Italy. This MBA is accredited by Ministry of Education, Italy and Council for Higher Education Accreditation (CHEA), United States, hence the MBA has dual accreditation from Europe and US.The University also comes under the ENIC NARIC Approved Universities and is recognized worldwide. [+]
Master’s Degree in Quantitative Finance and Risk Management draws on the recognized excellence of our engineering school in quantitative finance, and makes great use of the collaborations with the Universities of Paris-Dauphine and Cergy-Pontoise. [+]
Financial managers and related professionals are playing an increasingly important role in mergers, consolidations, global expansion, and financing, where their extensive specialized knowledge helps to reduce risks and maximize profit. [+]
A challenging and dynamic sector, the financial services industry requires graduates who can manage across an array of main bank operations, as well as understanding global finance, risk management and ethical decision making – issues essential to modern financial services companies. [+]
The Master of Finance (MFin) degree at Iowa State is designed to prepare students for careers in corporate finance, financial analysis, investing and wealth management, and risk management. [+]
The graduates from this M2 program have a double expertise in risk management and asset management, skills they can apply in banking, insurance and asset management. They master the basic concepts related to the measurement and management of risks, on the one hand, and asset management, on the other. [+]
The Master of Actuarial Science combines advanced mathematics, statistics, data analytics, actuarial risk theory, finance, economics and accounting subjects with large-scale, real-life commercial data analysis. [+]
The new Master of Finance (MFin) program at the A. Gary Anderson Graduate School of Management addresses this substantial unmet demand for trained finance professionals. [+]
The Master’s programme (38.04.08) in Finance (MiF) provides training for both professionals in financial and risk management, and for scholarly researchers in the area of finance. The programme focuses on creating and developing competencies in financial management and risk-management for financial institutions and non-financial companies. [+]
The Master Degree is a stimulating and complete master program (full-time, 12 months), providing competencies to advance the career in Insurance, Consultancy & Risk Management. [+]
Master in Insurance & Risk Management
The Master Degree in Insurance & Risk Management is a stimulating and complete master program (full-time, 12 months), providing the managerial and technical competencies to advance the career in insurance, risk management, finance and consulting.The Master has been developed with the direct support of company leaders in Insurance, Finance and Consulting (Allianz, Generali, KPMG, EY, etc), contributing to its realization from selection of candidates to defining the curriculum and job placement.
CareersAreas of employment: Insurance, Consulting, Business Advisory, Financial Services, Banking, Risk Management.... [-]
Areas of study The program is based on four main areas; Risk management, selected courses: Financial risk management, Actuarial methods, Financial markets and instruments. Corporate finance, selected courses:Corporate finance, Advanced corporate finance,Long-term incentive schemes, Advanced financial analysis of enterprises Pricing of financial instruments, selected courses: Derivatives pricing, Interest rates modelling, Stochastic finance in continuous time Investments, selected courses:Portfolio theory, Exotic options, Alternative investments, Hedge funds [+]
The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. [+]
A 3 year programme in French... [+]
The Master in Finance, Insurance and Risk Management aims to provide specialized learning in quantitative finance, and highly valuable professional expertise and skills in a wide array of fields. The program prepares graduates for a fulfilling career and high-level positions in the financial industry, including asset managers, brokerage and trading firms, commercial and investment banks, insurers, hedge funds, consulting... [+]
The Official Master's Degree in Financial Risk Management is offered by the Faculty of Economics and Business Administration at Comillas Pontifical University (ICADE), through ICADE Business School. Its main aim is to provide specialized training oriented to professional roles in the field of risks. [+]