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Technology powers modern finance. Mastering both domains will prepare you to excel in financial risk management careers. The Financial Risk Management MSc integrates classic finance principles with data analysis, quantitative methods, and computational modeling – cultivating skilled professionals in this discipline. This unique program approaches finance through a computer science lens, equipping you with expertise in computing, mathematics, and technology for financial risk assessment and forecasting.
The curriculum offers a groundbreaking fusion of fundamental finance knowledge with advanced computational methods, covering areas like machine learning, algorithmic trading, and blockchain. You'll learn from distinguished faculty who actively research or work in finance. The program provides comprehensive training in market risk, credit risk, operational risk, systemic risk, and financial engineering, alongside studies in market microstructure, probability theory, stochastic processes, and data modeling. Additionally, you'll merge financial system knowledge with practical computational skills.