MS Financial Risk Management

2 Years On Campus Masters Program

Baruch College

Program Overview

With an MS in Financial Risk Management, you will gain an in-depth look at the core areas of risk management, including interest rates, markets, credits, foreign exchanges, and more. You will also develop a strong understanding of derivatives, and learn how to use analytical and quantitative models and methodologies in risk management. The cumulation of your knowledge can be applied to current issues and developing challenges in the field of risk management.

Program Key Stats

$25650 (Annual Fees)



50 %

Eligibility Criteria


80
6.5
80

Additional Information & Requirements

Career Options

  • Finance Manager
  • Business Consultant
  • Financial Analyst
  • Market Research Analyst
  • (Finance) Specialist

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