Masters in Quantitative Management in Financial Risk Management

1 Year On Campus Masters Program

Duke University

Program Overview

Understand the main concepts of financial risk management for banks and asset managers, including risk management for banks (mortgages, prepayment risks, commercial loans, credit risk, Basel Accords, capital requirements, stress testing) as well as risk management for asset managers (security selection, selection of weights, systematic risk of portfolio).

Program Key Stats

$59611 (Annual cost)



11 %

Eligibility Criteria


90
158
164
705
7
90

Additional Information & Requirements

Career Options

  • Investment Banking
  • Market analyst
  • Financial Advisor
  • Consultant

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