Financial Risk Management MSc
1 year, full-time
In the world of finance, focusing on risk is just as important as focusing on return. We’ll equip you with skills in risk management techniques, quantitative and financial analysis, and programming – exactly what you need to work in the financial industry.
Teaching and learning
You will be taught through a combination of lectures, seminars, classes and computer practicals. You will be supported throughout your studies by department staff who are also available for private supervision.
Your course modules will generally be assessed by a combination of exams and coursework projects. Some modules are assessed by demonstrated skills in computing or by seminar presentation where this is appropriate.
I really enjoyed the variety of modules taught on my course and the statistical software packages – they complemented the theoretical learning and gave a practical perspective.