MBA with Specialization in Financial Risk Management
Program level
Master's degree
Application fee
$ 27.23 USD
Tuition Fee
$ 12,508.37 USD/year
Scholarship available
Duration
2 years
Scholarship available
Requirements
IELTS = 5, PTE = 59, TOEFL = 72, Duolingo = 90
Program Summary
This MBA specialization teaches students to identify, evaluate, and mitigate financial risks in a volatile global economy. They learn about credit, market, and operational risk, along with advanced risk modeling techniques. The curriculum integrates tools like statistical software, Monte Carlo simulations, and portfolio optimization frameworks. Ethical and regulatory considerations, including Basel III guidelines, are embedded in the coursework. Students engage in scenario planning, stress testing, and crisis management drills. Professors emphasize both theoretical foundations and practical applications in banking, insurance, and corporate finance contexts. By graduation, learners can guide organizations toward more secure and resilient financial decisions.
