Master of Management Science - Systemic Risk in New Haven United States | Yale University

Yale University | New Haven United States
Visit institution website for more information
Qualification
Masters Degree
Languages
English
Delivery Mode
On-Campus
Tuition (2025)
USD 82,200
Attendance
Full-time
Full-time Duration
12 months

Following the 2008 financial crisis, central banks and regulatory bodies assumed greater roles in overseeing systemic risk. During this period, the Yale School of Management has built significant expertise in macroprudential financial oversight and systemic risk assessment. The institution's finance professors possess extensive knowledge of capital markets and have authored pivotal research on the crisis's causes. Through its Program on Financial Stability, the school has hosted key meetings with central bank leaders and created educational resources focused on financial crises. Students spend an academic year completing core courses about international finance while exploring specialized elective options.


Destination of Study

Subjects of Study

Language Requirements

English
IELTS 6.0

Qualification Requirements

To apply to the Yale School of Management, applicants must have earned a four-year bachelor's degree from an accredited U.S. institution or the international equivalent. Applicants must submit the online application (including an essay), and the following materials:

- Transcripts from every college or university attended
- GMAT or GRE score (valid within 5 years of exam date)
- Two professional recommendations
- Resume
- Application fee

Tuition USD 82,200
New Haven, CT, United States
Type
Private
Degrees offered
Bachelor's Degree

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