Master of Financial Risk Management
GPTKB entity
Properties (47)
Predicate | Object |
---|---|
gptkbp:instanceOf |
academic program
|
gptkbp:awardedBy |
universities
|
gptkbp:developsStrategiesFor |
careers in finance
|
gptkbp:duration |
1 to 2 years
|
gptkbp:fieldOfStudy |
finance
|
gptkbp:focusesOn |
risk assessment
risk management strategies |
gptkbp:hasSkill |
data analysis
decision making financial modeling risk analysis |
https://www.w3.org/2000/01/rdf-schema#label |
Master of Financial Risk Management
|
gptkbp:isDesignedFor |
working professionals
recent graduates |
gptkbp:isEvaluatedBy |
exams
thesis or project |
gptkbp:isInfluencedBy |
financial regulations
economic trends market volatility |
gptkbp:isLocatedIn |
online
on-campus |
gptkbp:isOftenAccompaniedBy |
business schools
|
gptkbp:isPartOf |
graduate education
|
gptkbp:isPopularIn |
gptkb:Asia
gptkb:North_America Europe |
gptkbp:isPromotedBy |
career services
alumni networks professional associations |
gptkbp:isRecognizedBy |
employers
|
gptkbp:isRelatedTo |
investment management
actuarial science financial engineering |
gptkbp:isSupportedBy |
grants
scholarships financial aid |
gptkbp:mayHave |
case studies
internship opportunities CFA certification FRM certification capstone_projects GMAT_or_GRE_scores |
gptkbp:notableContestants |
bachelor's degree
|
gptkbp:offersCoursesIn |
financial markets
regulatory frameworks quantitative methods portfolio management |