Master of Science in Financial Risk Management

University of Glasgow

UK,Scotland

 0 Shortlist

12 Months

Duration

CAD 35,640/year

Tuition Fee

CAD 25

Application Fee

Sep 2025

Apply Date

UK, Scotland

Type: University

Location Type: Urban

Founded: 1451

Total Students: 35,000 +

Campus Detail

Main Campus Address

Glasgow G12 8QQ, United Kingdom

Master of Science in Financial Risk Management

Program Overview

    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.
  • It will equip you with up to date risk management skills for the quantification of risk and the optimal asset allocation. These skills are essential for managing and hedging market, credit and interest rate risks.
  • You will have access to statistical packages, such as MATLAB and EViews, and a dedicated computer lab that will enable you to put theory into practice.
  • Bloomberg Experiential Learning Partner logoWe are now partners with Bloomberg Experiential Learning. The ELP program recognises and celebrates academic institutions that are leaders in experiential learning through the integration of Bloomberg terminal exercises into curriculum.
  • Take advantage of our individualised skills development programme, which will ensure you balance academic theory with crucial employability skills to help you maximise your potential and achieve your career goals.   

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