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Enhance your career prospects. in one of the most sought after areas of finance. Study one of the . most recognised. Read more
Demand is growing worldwide for experts who have the technical skills to measure and manage financial risk. This Masters degree prepares you to meet these requirements, equipping you to respond to emerging developments in the global capital and money markets. Read more
This MSc programme, which has been designed in conjunction with leading risk professionals, aims to meet the growing demand for professionals who are highly skilled in quantitative risk management. Read more
In the wake of the recent financial crises, a better understanding, and application, of financial risk management will play an extremely important role in the financial sector in the years to come. Read more
The MSc. Economic and Financial Risk Analysis was launched in response to the changing economic and financial environment. It provides students with international quality training in the fundamental concepts and tools required by the financial sector. Read more
Since the banking crisis, risk managers have been increasingly sought after. Large companies rely on them to advise on appropriate risk-taking, identify and assess threats, and decide how to avoid, reduce or transfer risks. Read more
Studying risk and investment management looks at how organisations and investors should understand, evaluate and address relevant risks to maximise the chances of their objectives being achieved. Read more
How can we prevent another financial crisis? Is it by better understanding risk in financial securities? Can improving the way we measure and manage risk create stability in the financial world?. Read more
The MSc Financial Mathematics programme provides you with advanced analytical training, quantitative knowledge and the practical skill sets required by modern financial institutions. Read more
The Financial Mathematics MSc enables graduates and professionals with a strong mathematical background to research, develop and apply quantitative and computational techniques to investment and risk management. Read more
The Bocconi Graduate School provides students with many research opportunities as well as an advanced education.
Sussex has a prestigious international reputation and is ranked amongst the top 20 universities in the UK, with both departments ranked amongst the top 15 (Guardian University Guide 2018).
Our Quantitative Finance and Risk Management MSc will develop your understanding of generalist finance issues. You'll also develop specialist practical skills in quantitative methodology and risk management. Read more
Kent Business School, top 30 in the UK and is committed to excellence by providing world-class, thought-provoking Master’s programmes.