The Master of Science in Financial Risk Management offers a challenging, yet rewarding curriculum. The program requires 34 credits to be completed in four consecutive semesters. The program courses fall into four key categories – Financial Markets, Financial Risk Modeling, Financial Risk Management and Applications. Watch the video below to learn more: University of Connecticut [...]
The UConn School of Business Financial Risk Management program achieves its mission by using expert instructors and by providing a curriculum that touches on the real models, products and management strategies that are applicable today. Those studying this curriculum will help shape the market moving forward. Those aspiring to enter the money management profession in [...]
International students often wonder how they are evaluated before being selected for a rigorous program like UConn’s Master of Science in Financial Risk Management. The UConn School of Business has a set of guidelines it follows when analyzing international candidates. Watch the video below to learn more about application requirement for international students applying for [...]
Wondering how a Master of Science in Financial Risk Management from the University of Connecticut School of Business can help your career? Because of the globalization of financial risk markets, the role risk management plays in today’s economy has been drastically elevated. The University of Connecticut School of Business can help you become a key [...]
More information about the 2012 Financial Risk Management program can be found at www.MastersFinancialRiskManagement.com Technorati Tags: ct masters in financial risk management, ct programs in financial risk management, financial risk management, financial risk management programs in ct, University of Connecticut Stamford