| Duration | 12 Months |
|---|---|
| Level | Masters Program |
- Demand is growing worldwide for experts who have the technical skills to measure and manage financial risk
- This Masters degree prepares students to meet these requirements, equipping them to respond to emerging developments in the global capital and money markets
- Students will gain comprehensive knowledge of essential topics including the dynamics of financial markets, the causes and effects of financial risk and professional practices for measuring and managing portfolio risk
- Students can also choose optional modules allowing them to specialise in areas such as accounting, international banking and security investment analysis
- The course builds students understanding of essential topics such as corporate finance and applies financial theory to practical problems
- Students will study financial modelling, risk and insurance, managing portfolio risk and derivatives
- Students will also undertake professional skills training throughout the year to help them develop the critical skills to apply their knowledge into the workplace
| Fees components | Amount |
|---|---|
| Tuition & fees | 2890470 INR |
| Hostel & Meals | 543104 INR |
| Total | 543104 INR |
Entry Criteria
| Class 12th | No specific cutoff mentioned |
|---|---|
| Bachelors | 60.0%
|
| Exams | IELTS: 6.5
PTE: 64
|
| Additional info |
|
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