Sobre este curso
Data de início
2020 - 2021
Master of Science
O melhor curso na melhor universidade para você
The MSc Financial Risk Management course is designed to equip you with an exemplary set of capabilities as you develop a deep understanding of financial risk management theory, which is richly illustrated with case studies and in-depth enquiry-led student-centred learning. The key educational aims of the degree are to: The degree seeks to produce autonomous learners, able to work with self-direction and originality. You will also have the opportunity to develop an appreciation of how properly conducted research can enhance your performance as financial risk managers, for example, learning how to disaggregate complex scenarios in order to facilitate separate management of component risks. Investment software (i.e. Bloomberg) and databases (i.e. Datastream) are used to immerse you in complex problem-solving situations which illustrate financial practices and techniques you will experience when working in the finance industry. For example, when using Bloomberg, you will have the opportunity to structure financial risk mitigation solutions using derivatives that you design and price, using software tools that simulate related tasks as a practitioner. The acquisition of skills and experience which correspond to life in practice are expected to greatly enhance future employment prospects. The course has been designed by former practitioners who it is intended will also teach you in preparation for a career in financial services. It combines critical analysis and understanding of concepts and theories in financial risk management with development of a quantitative financial risk-assessment skill set, all embedded within real-world applications.
Quer saber se pode entrar nesta Universidade?
ENTRE EM CONTATO