The Master in Financial Risk Management (MSc) at UCL provides students with advanced knowledge of programming and computing skills in mathematical, statistical, and computational modelling. Students will develop a clear appreciation of different types of risk within the industry, and of the managerial issues related to risk control.
The program’s core curriculum is typically delivered through a combination of lectures, tutorials, and lab classes, as well as directed and self-directed learning supported by teaching materials and resources, published through each module’s online virtual learning environment. Each module employs a teaching strategy that aligns with and supports its intended learning outcomes.
During the Master in Financial Risk Management (MSc), students will learn the core concepts of risk analysis, and develop a high level of skill in quantitative risk management.
There may be additional costs by this university.