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Tuition/Year€13,160
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Duration1 Year
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The Master of Science in Financial Risk Management at Trinity College Dublin provides a comprehensive education in the principles and practices of financial risk management. This one-year program covers a wide range of topics, including portfolio analysis, capital markets and investments, financial modeling, derivatives pricing, and quantitative techniques. The curriculum is designed to equip students with the skills and knowledge to effectively analyze and manage financial risks in an ever-evolving global economy. Through coursework, laboratory work, and internships with leading financial institutions, graduates of this program will be well-prepared to pursue successful careers in banking & finance; investment management; consulting services; corporate risk management; or public policy positions. With an excellent track record of success and a strong network of alumni working across multiple sectors worldwide, this program provides students with unique opportunities to make meaningful contributions towards addressing some of the most pressing challenges facing modern economies today.
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Copyright © 2025 – Studygram™– All Rights Reserved