项目背景
`
更新时间:2024-07-08
开学时间9月
课程学制1年
学费34128.00/GBP
专业介绍
The MSc Risk and Finance is an interdisciplinary master's programme designed to provide a comprehensive understanding of the various facets of risk, including risk perception, management, control and regulation as encountered in a wide variety of contexts.
The success of organisations depends upon their ability to operate in the face of risk, and risk management is increasingly recognised as requiring special skills central to the functioning of the organisation. This programme addresses such questions as: What types of risks exist in various settings? What are the appropriate ways to classify, measure and assess risk? How does the organisation of enterprises, governments and markets increase, decrease or change the nature of risk? What techniques can be used to transfer risk in markets, firms or societies? The design of the programme will enable you to acquire a broad knowledge of risk management and regulation, and to deepen your competency in a chosen area of specialisation.
The programme is supported by Deutsche Bank, which contributes a high level of involvement via a series of practitioner seminars which run throughout the programme.
推荐顾问
语言要求
Write
6.5
24
62
总分
7
100
70
学术要求
通常为经济,经济,金融,数学,统计,会计且包含数学和统计科目
课程设置
Compulsory:必修
Management and Regulation of Risk :风险的管理与监管
Asset Markets A*:资产市场A *
Corporate Finance A*:公司财务A *
申请案例
学生姓名:贺 **
毕业学校:东南大学
本科专业:金融
基本背景:
/GPA90/100/雅思0
学生姓名:应**
毕业学校:南京大学
本科专业:金融
基本背景:
四年级/GPA90/100/雅思105
学生姓名:郑**
毕业学校:中央财经大学
本科专业:金融学
基本背景:
四年级/GPA90.31/100/雅思8
学生姓名:黄**
毕业学校:澳门大学
本科专业:金融(金工方向)
基本背景:
四年级/GPA3.96/4/雅思0