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Business Management & Marketing
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Master in Financial Risk Management (MSc) - UCL (London)
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    MASTERS

    Master in Financial Risk Management (MSc) - UCL (London)

    UCL (University College London)
    LondonUK
    On campus
    Full-time
    €49,002.59total
    Duration
    1 Year
    Language
    English

    Program Description

    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.

    Entry Requirements

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    Curriculum

    Courses

    Compulsory Modules

    Data-driven Modelling of Financial Markets

    Probability Theory and Stochastic Processes

    Financial Engineering

    MSc Financial Risk Management Project

    Market Risk and Portfolio Theory

    Optional Modules

    Applied Computational Finance

    Numerical Methods for Finance

    Market Microstructure

    Machine Learning with Applications in Finance

    Algorithmic Trading

    Financial Market Modelling and Analysis

    Financial Institutions and Markets

    Blockchain Technologies

    Quantitative Modelling of Operational Risk and Insurance Analytics

    Operational Risk Measurement for Financial Institutions

    Networks and Systemic Risk

    Jobs - Careers

    • Accountancy
    • Financial Services
    • Banking
    • Investment
    • Technology
    • Telecoms
    • Publishing
    • Journalism
    • Translation
    • Consultancy
    • Logistics
    • Distribution
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    The content has not been updated in the last 6 months

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