This programme focuses on the risk management and the quantification of several types of risk such as financial, including market risk and some elements of liquidity and counterpart risk. Financial Risk Management will provide you with a thorough understanding of advanced econometric analysis theories of risk, including bond market interest rate determination, market risk, liquidity risk and counterpart risk the role and impact of financial regulations.
DURATION
1 Year
FEES
35,640
EXAMS
Book Your Online Counselling Session
Contact MOEC Experts for Study Abroad Guidance!
x
By using our site, you agree to our use of cookies.