2 Risk Management Master's degrees in China
- MSc
- Master
- Asia
- China
- Economic Studies
- Finance
- Risk Management
- 211More in Asia
- Hong Kong2
- Japan2
- Malaysia1
- United Arab Emirates1
2 Risk Management Master's degrees in China
University of Technology Sydney
Master of Mathematics and Quantitative Finance
- Sydney, Australia
- Moore Park, Australia + 2 more
Master
Full time, Part time
2 years
On-Campus
English
Major regulatory changes and the emergence of new types of financial risk means that skilled quantitative finance professionals are more in demand than ever. The UTS postgraduate Quantitative Finance program is recognised in Australia and overseas as a leading qualification for aspiring and established quantitative finance professionals. Designed by industry experts and leading UTS quantitative finance academics, the Master of Mathematics in Quantitative Finance has been designed to meet demand in this specialist field among graduates seeking to build their academic quantitative expertise. Through a combination of theoretical learning and hands-on experience, students gain the skills and professional competencies required to measure and manage risk in todayโs complex financial markets. Explore our quantitative finance degrees UTS offers a suite of postgraduate quantitative finance degrees, each with a different area of focus. Students considering the Master of Mathematics and Quantitative Finance may also be interested in the following courses: Master of Quantitative Finance Master of Data Science in Quantitative Finance
University of Reading, Henley Business School
MSc Financial Risk Management
- Reading, United Kingdom
- Henley-on-Thames, United Kingdom + 3 more
MSc
Full time, Part time
10 months
Distance Learning, On-Campus
English
There is a large and rapidly growing demand for properly qualified graduates in financial risk management. Our MSc Financial Risk Management degree has been carefully structured to provide ...
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Popular Economic Studies Finance Risk Management degree types
Popular study format
Master Degrees in Economic Studies Finance Risk Management
Risk management involves the identification, prioritization and assessment of financial risks. Students learn to help businesses reach their goals by reducing uncertainty. In the process, specific resources are applied with the goal of minimizing, controlling and monitoring possible losses or unfortunate events.
The china higher education for a couple of years has been voted as one of the best among the Asian countries. This country has over 150 both public and private owned universities distribution on all provinces of china. The higher education is research based.
A masters is earned after students complete an undergraduate degree program. To obtain a masters, you usually need to complete 12 to 18 college courses that often involve completing comprehensive tests and/or a thesis.