MSc in Finance and Risk Management in Denver United States | University of Colorado Denver

University of Colorado Denver | Denver United States
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Qualification
Masters Degree
Languages
English
Delivery Mode
On-Campus
Tuition (2025)
USD 32,120
Attendance
Full-time
Full-time Duration
18 months

Equipping you with expertise to provide reliable financial guidance and mitigate risks. Leverage CU Denver's strong industry connections that link you directly to businesses both in and out of the classroom. Courses are available online, allowing you to fit studies around your schedule. Engage in practical training using essential software and databases such as Bloomberg, Morningstar, and CQG.
Pursuing a Master's in Finance and Risk Management at CU Denver Business School will deepen your understanding of modern business economics while enhancing your quantitative abilities. As a participant in the CFA Institute's University Affiliation Program, much of the coursework aligns with real-world investment management practices. Upon completing the program, you'll be ready to take the Chartered Financial Analyst (CFA) exam and secure advanced finance roles.
This immersive program lets you explore specialized areas including behavioral finance, political finance, and global corporate governance. With five concentration choices, you can customize your degree to emphasize commodities, risk management and insurance, economics, financial analysis, or general finance.


Destination of Study

Subjects of Study

Language Requirements

English
IELTS 6.5

Qualification Requirements

Applicants must have completed an undergraduate program at an accredited United States college or its equivalent in another country.

 

Tuition USD 32,120

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