Risk Management for Financial Institutions
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Beschrijving
RISK MANAGEMENT FOR FINANCIAL INSTITUTIONS
UNIQUE INSIGHTS INTO BEHAVIOURAL FINANCE IN THE CORPORATE WORLD AND ON FINANCIAL MARKETS
This Master’s degree programme gets to grips with the practical aspects of risk management and is specially designed for working professionals who are keen to utilize essential concepts from behavioural finance to optimize risk management within their own organization.
As the financial world continues to be shaped by dramatic changes and technological advances, you and your organization need fresh insights and applications to protect stakeholder interests. To develop an astute and effective approach to risk management, it is essential to gain a thorough unders…
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RISK MANAGEMENT FOR FINANCIAL INSTITUTIONS
UNIQUE INSIGHTS INTO BEHAVIOURAL FINANCE IN THE CORPORATE WORLD AND ON FINANCIAL MARKETS
This Master’s degree programme gets to grips with the practical
aspects of risk management and is specially designed for working
professionals who are keen to utilize essential concepts from
behavioural finance to optimize risk management within their own
organization.
As the financial world continues to be shaped by dramatic changes
and technological advances, you and your organization need fresh
insights and applications to protect stakeholder interests. To
develop an astute and effective approach to risk management, it is
essential to gain a thorough understanding of how human behaviour
affects decision-making in uncertain conditions.
On this cutting-edge Master’s programme with a broad scope, you
will work towards a new and more sophisticated analysis of how key
players in the financial markets and the business world should take
decisions in unsure times and handle the risks associated with
these decisions. As a risk management professional ready to take
the next step in your career, this is quite simply the most
relevant, comprehensive and fascinating programme you can
take.
RISK MANAGEMENT AT A GLANCE
Duration Part-time, 2.5 years.
Start date The programme begins in
September.
Classes Weekly meetings on a set evening,
usually Tuesday of Wednesday, from 19.00 to 22.00.
Assessment One written exam per course and
several graded cases studies per semester.
Thesis requirement You will write a portfolio
of four concise essays spread throughout the 2.5 years,
individually as well as in collaboration with fellow
students.
Study load Approximately 10 hours a week
(including one three-hour lecture).
Language Dutch, but the language of
instruction depends on the lecturer as well as the
students.
Title Master of Science (MSc) in Risk
Management and the opportunity to join the Register of Risk
Managers for Financial Institutions (RMFI).
Fees €12,500 for each full academic year. (No
separate fee for the third year).
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Deel je ervaring
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