Master's Degree in Risk Management in Ljubljana in Slovenia

View Masters Programs in Risk Management 2017 in Ljubljana in Slovenia

Risk Management

A masters is earned after students complete an undergraduate degree program. To obtain a masters, you usually need to complete 12 to 18 college courses that often involve completing comprehensive tests and/or a thesis.

A Master of Science degree in Risk Management provides the foundations to have a career in risk management. It will give the student the abilities to identify operational risks in all areas of business, pursue higher returns on market volatilities and other risks in business activities.

Slovenia (Slovenija) is a member of the European Union, Schengen Agreement and NATO. Previously one of Yugoslavia's six constituent republics, present-day Slovenia became independent in 1991. Slovenia has four universities, located in Ljubljana, Maribor, Nova Gorica and Koper.

Ljubljana is the capital city of Slovenia and the largest in the country. It is located in the Ljubljana basin and has a population that close to 300,000 residents. Ljubljana has a rich history and still has a middle-ages look with a touch of Modernization.

Request Information Master's Degrees in Risk Management in Ljubljana in Slovenia 2017

Read More

Master in Quantitative Finance & Actuarial Sciences

University of Ljubljana Faculty of Economics
Campus Full time 2 years October 2017 Slovenia Ljubljana

The master’s programme in Quantitative Finance and Actuarial Sciences is designed to develop in-depth knowledge and specific skills in asset management, risk management, and actuarial sciences for future employees in the financial industry. The programme’s goal is to acquaint the students with specific features of the finance and insurance industry. [+]

Masters in Risk Management in Ljubljana in Slovenia. The master's programme in Quantitative Finance and Actuarial Sciences is designed to develop in-depth knowledge and specific skills in asset management, risk management, and actuarial sciences for future employees in the financial industry. The programme's goal is to acquaint the students with specific features of the finance and insurance industry. As part of core courses and specific track courses, students learn the basics of quantitative finance, actuarial sciences, the insurance industry, econometric analysis, and modelling. Given the programme’s methodological demands and level of difficulty, adequate prior knowledge of mathematics, microeconomics, and macroeconomics is required. Students demonstrate this by passing exams and fulfilling requirements in the relevant courses or holding a recognized undergraduate degree. Admissions Criteria First-year enrolment is open to: Graduates of first-level programmes in relevant study areas with at least 180 ECTS Graduates of a programme of study for graduate qualification in relevant areas of study Graduates of equivalent courses listed in the above paragraphs from other areas of study and completing additional academic requirements of 12 ECTS: Microeconomics 1 (6 ECTS) and Mathematics for Business and Economic Sciences (6 ECTS) Duration of study: 2 years (4 semesters) Scope of ECTS: 120 ECTS Study status: full-time Degree: Master in Quantitative Finance and Actuarial Sciences (second-cycle) Apart from candidates holding degrees in economics and business studies, the programme is suitable primarily for students with backgrounds in mathematics, physics, as well as machine and electrical engineering. To master statistics, microeconomics, finance, and the... [-]

Master’s degree in Corporate Security Management

GEA College
Campus Full time 2 years October 2017 Slovenia Ljubljana

The management of business and security mechanisms in the economy, industry, national institutions and civil society. [+]

Program description The management of business and security mechanisms in the economy, industry, national institutions and civil society. Profession for today and tomorrow. The study focuses on multi-disciplinary theoretical and practical knowledge from the field of management and corporate risks. Complementing your vast business knowledge. The study introduces contents, which are relevant for corporate security: geo-strategic and political aspects of security risks, security standards in business processes, security risk management, planning and development of corporate security on every level, monitoring processes, economic intelligence and mechanisms for managing various risks. Introduction to global business environment. The study analyses numerous examples from local and international companies, represented by the top professionals from the field of security in the region. During the study, numerous cases from domestic and international companies represented by top experts in the field of security in the region are being dealt with. The study provides the familiarisation of the global business environment and possibilities of networking and making contacts. The personal approach is provided with the academic curriculum which takes place in small groups enabling direct cooperation between lecturers and students. Scope of ECTS: 120 ECTS Study mode: Flexible study mode with the possibility of designing an individual study plan to accommodate the working and other obligations of each student. Degree: Master’s degree in Corporate Security Management The programme is accredited via the Ministry of Education of the Republic of Slovenia and is consequently recognised worldwide under the EU directive. The studies are in line with the Bologna Declaration... [-]