UCONN的全稱是University of Connecticut的Financial Risk Management,即康涅狄格大學(xué)金融風(fēng)險管理,下面將詳細(xì)介紹UCONN的的項目特點/院系介紹、UCONN的的研究領(lǐng)域、UCONN的的研究生申請要求。
康涅狄格大學(xué)
The Master of Science in Financial Risk Management is designed for business professionals who want to enhance their careers by fully understanding how to identify and manage various types of financial risk.
The 15-month program emphasizes both rigorous theoretical and quantitative analysis, as well as practical and hands on experience addressing real world risk management problems (i.e. credit, interest rate, currency and market risk in asset and wealth management, arbitrage strategies, restructuring and combinations, and alternative investments).
Additionally, we are excited to offer a new full semester of three 3-credit courses for the incoming and current cohort. This semester will include two courses on advanced and quantitative applications in Financial Modelling and Financial Engineering and a comprehensive course on Enterprise Risk management (ERM). This change will extend our 15 month program to 19 months. The students choosing this option will graduate in May rather than in December.
2、Financial Risk Modeling
3、Financial Risk Management
4、Applied Projects
2、財務(wù)風(fēng)險模型
3、財務(wù)風(fēng)險管理
4、項目應(yīng)用
托福91分或雅思6.5分,GMAT,GMAT均分為627分,GPA要求3.0以上,學(xué)費$44,460/年,申請截止日期7月15日,要求至少有2年以上的相關(guān)工作經(jīng)驗
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