Master of Science in Financial Risk Management

佩斯大学 - Kaplan International

US

QS排名:

  • 学历文凭

    Masters Degree

  • 专业院系

    商业管理与行政

  • 开学时间

  • 课程时长

  • 课程学费

    汇率提示

国际学生入学条件

TOEFL IBT - 90, IELTS - 7.0.
Undergraduate grades required: 3.0 GPA (Grade Point Average) From Fall 2020 onwards, Lubin School of Business is waiving the GMAT/GRE score requirement for master's degree applicants with GPA 3.0+. If you have a cumulative GPA of 3.0 or above for all of your undergraduate work, and you hold a bachelors degree from an accredited institution, you will be considered for admission to any MBA or MS program without submitting a GMAT or GRE score. If you are applying for the MS Financial Management, MS Financial Risk Management and MS Investment Management and have passed Level 1 of the CFA exam or Level 1 of FRM exam, you may request a waiver of the GMAT or GRE.
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雅思考试总分

7.0

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  • 雅思总分:7
  • 托福网考总分:90
  • 托福笔试总分:160
  • 其他语言考试:PTE 61
CRICOS代码:
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课程简介

YourMS in Financial Risk Management will help you gain skills in analytics and information technology that are in high demand with employers. Learn to manage risk and portfolios and understand the ins and outs of financial securities markets, all while preparing for prestigious certifications such as the Financial Risk Manager (FRM ) offered by Global Association of Risk Professionals (GARP), one of Lubin's official academic partners.<br><br>Acquire the mathematical skills needed to analyze risk.<br>Develop an integrated risk-management perspective.<br>Prepare for prestigious certifications such as the FRM.<br><br>Lubin's master's degree in financial risk management provides you with a thorough understanding of financial risk management and the global aspects of risk analysis. Gain mastery over concepts and skills that impact every aspect of risk management in financial and non-financial organizations.<br><br>You will study topics such as equity, bond and derivative markets, management of portfolios, portfolio risk, the global aspects of risk analysis, and the financial securities markets that are important for risk managers, including equity markets, bond markets, and futures and options markets. The curriculum includes hedging and managing risk in manufacturing, retailing and other non-financial organizations, managing portfolios, and measuring, managing, and modeling risk in financial institutions.<br><br>Degree duration: 1.5 years<br>Degree intake date(s): September, January<br>Annual tuition fee: 27,180
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