Learn more about Financial Risk Management (Taught) 12 months Postgraduate Program By University of Leeds including the program fees, scholarships, scores and further course information
The MSc Quantitative Methods for Risk Management – formerly known as MSc Risk and Stochastics - offersin-depthinstruction inprobabilistic, statistical, and computational methods to quantifyriskarising from, but not limited to, economic, financial, and insurance applications. This programme is LSE’s t...
The MSc Finance and Risk 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 thei...
Specialist provider of risk assessment and management consulting, resourcing, training and inspection services.
programme Centralised finance function management of Group net debt, and FX Forward currency contracts Interest rate swaps Context: The Group is exposed to a number of financial risks, some of which are of a macroeconomic nature (for example, foreign currency, interest rates) and some of which...
If you do not qualify for direct entry, you may wish to follow a Graduate Diploma pathway to the programme through one of our partners. INTO City, University of London Don't meet the entry requirements? INTO City, University of London offers a range of academic and English language programm...
UNIUYO PhD in Insurance and Risk Management Admission Mode of Study & DurationMode of Study:The mode of study shall be full-time.Duration of the Programme:The PhD in Insurance and Risk Management programme shall run for a minimum of three (3) academic years of six (6) semesters and a ...
Glasgow Caledonian University's MSc Risk Management explores strategic and operational risk in the context of wider organisational resilience. This research-led postgraduate programme is available to study in either full time mode; as part of our thriving international community based on campus or dist...
Most of my career has been very customer centric, working in the Institutional business across different sectors and the credit value chain, covering relationship management, research and analysis and credit risk. I also spent a few years focused on strategic transformation and simplification within ou...
702 A new European post-graduate master programme in risk assessment and risk analysisdoi:10.1016/S0378-4274(03)90701-6M. Maroni and C.L. Galli and J. Bridges and R. KroesToxicology Letters