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There is increasing global demand for professionals with the technical expertise to assess and control financial risk. This Master's program prepares you to meet these needs by providing the tools to address evolving trends in international capital and money markets. You'll develop thorough understanding of key subjects such as financial market behavior, the origins and impacts of financial risk, and industry-standard methods for evaluating and controlling investment risks. The program also offers elective courses that let you focus on specialized areas like financial reporting and analysis, global banking, securities investment evaluation, and discrete time finance.
Starting from your first day, we motivate you to look ahead to your future career path. Upon completing this degree, you'll possess the capabilities and understanding to explore diverse finance career paths, including risk assessment, credit analysis, derivatives, insurance, and financial research. Alumni have secured positions at various financial organizations, investment banks, regulatory bodies, international insurance firms, asset management companies, underwriting firms, and investment funds.