Μεταπτυχιακά:
Χρηματοοικονομικά

MSc in Finance and Risk Management

Μοιράσου το
Φορέας Εκπαίδευσης:
CITY College, International Faculty of the University of Sheffield
ΘΕΣΣΑΛΟΝΙΚΗ
Οκτώβριος 2020
12 - 24 months
Master
Πλήρους , Μερικής
Αγγλικά

ΠΡΟΥΠΟΘΕΣΕΙΣ ΕΓΓΡΑΦΗΣ

 Eligible candidates should hold:
- A Bachelor’s degree
- English IELTS 6.5 or equivalent

ΠΕΡΙΓΡΑΦΗ

 The MSc in Finance and Risk Management is designed for technically-minded graduates who want a deep, analytical study of risk management and finance and who intend to pursue a quantitative career in the financial services sector. 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. The programme will develop a solid theoretical foundation and practical skills in finance and risk management as well as analytical skills in relation to financial institutions and markets, portfolio management, instruments, and other critical areas.

  • Econometrics for Finance
  • Investments and Security Analysis
  • Corporate Finance and Valuations
  • Financial Reporting and Analysis
  • Simulation and Risk Management
  • Financial Engineering
  • Financial Derivatives and Risk Management
  • Bank Regulation and Financial Stability
  • Research Methods for Finance
  • Dissertation /Research Project

*This programme may be subject to minor changes.

ΠΛΗΡΟΦΟΡΙΕΣ

 Graduates of the MSc in Finance and Risk Management may pursue careers in risk management, credit risk analysis, insurance, derivatives, banking.

ΔΙΔΑΚΤΡΑ
Για πληροφορίες σχετικά με τα δίδακτρα επικοινωνήστε με το φορέα εκπαίδευσης
ΦΟΡΜΑ ΕΚΔΗΛΩΣΗΣ ΕΝΔΙΑΦΕΡΟΝΤΟΣ
Τα στοιχεία σας αποστέλλονται απευθείας στην εταιρεία που διοργανώνει το πρόγραμμα εκπαίδευσης.

Όλα τα νέα και οι ενημερώσεις απευθείας στο email σας