项目背景
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更新时间:2024-07-09
开学时间9月
课程学制1年
学费28900.00/GBP
专业介绍
Study this UK risk management master’s for a broad understanding of theory and practice in key topics of risk. Explore financial and credit risk, decision making and corporate security and insurance. This course equips you with the skills to apply project risk management principles to a range of sectors. You’ll be able to tailor your degree and explore your own interests through optional modules, taught by experienced academics and researchers. This UK risk management degree teaches risk management topics so that you can apply techniques and theory in any field, rather than focusing on finance or engineering. This course is for you if you have some professional experience and want to advance risk management practice in your industry, or if you are looking to specialise following your undergraduate study. You’ll explore different aspects of risk and discover your area of interest through optional module selection in areas such as finance, quantitative methods and corporate security. MSc Risk Management is accredited by the Chartered Insurance Institute. This means you can apply for credits towards professional qualifications when you graduate. You’ll be taught by academics at the forefront of risk management research, including experts in decision making in uncertain environments and project risk. Our master’s in risk management is delivered with links to Southampton’s Business School’s Centre for Risk Research, the only specialist centre of its kind in a Russell Group University. The centre hosts unique opportunities, such as industry seminars, to inform your learning.
推荐顾问
语言要求
Write
6.5
24
68
总分
6.5
92
68
学术要求
会计,金融,商业,数学,工程,科学,经济;但Language Studies(如商务英语,应用英语,翻译等)类和Art/Design/Vocational Studies(如艺术,图形设计,摄影,电视,广播,剧本写作,表演,舞蹈等)专业一定不接受。
课程设置
Mandatory 必修 Dissertation (Risk Management):学位论文 (风险管理) Enterprise Risk Management and Insurance:企业风险管理与保险 Principles of Risk Management:风险管理原则 Project Risk Management:项目风险管理 Quantitative Methods:定量方法 Quantitative Methods for Risk Management:风险管理的定量方法 The module introduces some widely used quantitative approaches for characterizing uncertainty:该模块介绍了一些广泛使用的定量方法来表征不确定性。 Risk Taking and Decision Making:风险承担和决策 Optional 选修 Advanced Analytics:高级分析 Corporate Finance:公司财务 Credit Risk & Data Analytics:信用风险与数据分析 Financial Risk Management:金融风险管理 International Corporate Social Responsibility and Ethics:国际企业社会责任与伦理 Managing Complexity, Uncertainty and Subjectivity:管理复杂性、不确定性和主观性 Project Management:项目管理 Simulation:仿真 Strategic Analytics:战略分析 The Management of Corporate Security:企业安全管理
申请案例
学生姓名:卢**
毕业学校:哈尔滨商业大学
本科专业:会计学
基本背景:四年级/GPA88.24/100/雅思6
学生姓名:杨**
毕业学校:Jilin University of Finance and Economics
本科专业:Finance
基本背景:四年级/GPA81.7/100/雅思0