Location
Netherlands: Amsterdam
Term
Academic Year
The global financial crisis has clearly demonstrated the high relevance of risk management. There is great need to innovate risk management procedures, revise supervisory practices and improve the handling of systemic risk. Thus, the study of risk management has never been so relevant. Duisenberg school of finance recognizes the need for this change and therefore offers students a challenging curriculum to prepare them for handling future extreme circumstances. The MSc in Risk Management is taught using an integrative, highly analytical approach, one which combines an in-depth examination of real-world risk management problems with the underlying financial theory and methodological aspects (mathematics, stochastic processes, statistics) of risk management. Students will emerge from the MSc in Risk Management programme prepared to enter a career in a field where top expertise is scarce.
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Worldwide Participants.
We are committed to providing excellent financial education in order to create the next generation of responsible financial leaders. To achieve this, leading industry practitioners and world-class academics joined to develop a set of forward-looking financial programs. These programs integrate theory and practice, as valued by Wim Duisenberg, and encourage critical thinking and continuous reflection on the dynamic financial landscape.
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