Financial Risk Management

Master

img

University of Toronto

Course Overview

The Master of Financial Risk Management (MFRM) is an 8-month program designed to prepare you for in-demand careers in risk management and trading. During the program you will gain a better understanding of the different types of risk, the regulatory environment and how different financial institutions manage uncertainty.

You will consider the ways risk is measured and managed, looking at systems and models currently used within the financial sector. Top Business School in Canada's financial capital The Rotman School of Management at the University of Toronto is ranked the #1 Business School in Canada by the Financial Times. Our campus is based in downtown Toronto, the financial capital of Canada, and the third largest in North America after New York and Chicago.

Toronto is consistently rated as one of the most live able and culturally diverse cities in the world. Learn from the best You will be taught during this program by academics who are leader in the field, such as John Hull, Peter Christoffersen and Alan White. The finance faculty at Rotman School of Management are consistently ranked in the top 10 in the world by the Financial Times. Real-world experience You will have the opportunity to gain real-world experience during the Risk Management Project which takes place midway through the program.

You will work on a real risk issue that is relevant and of interest to financial institutions. During the two-month project you will be taken out of the classroom and into industry, working in-house with practicing risk management professionals. Throughout the project you will receive guidance from a faculty mentor. Innovative resources. The BMO Financial Group Finance Research and Trading Lab allows you to gain access to live data feeds, take part in simulations, manage your own portfolio, experiment with different trading strategies, and test your risk management ideas.

Program Outline

Course Overview

  • Teaching method: Face to Face
  • Full Time Duration: 8 months
  • This Program is taught in: English

Ratings:

  • Course rating:
  • University rating:
  • Value for money:

Fees:

  • Domestic Students: 43,200 CAD (34,200 USD) 1
  • International Students: 60,400 CAD (47,800 USD) 1

Address

University of Toronto, Canada

Course Overview

The Master of Financial Risk Management (MFRM) is an 8-month program designed to prepare you for in-demand careers in risk management and trading. During the program you will gain a better understanding of the different types of risk, the regulatory environment and how different financial institutions manage uncertainty.

You will consider the ways risk is measured and managed, looking at systems and models currently used within the financial sector. Top Business School in Canada's financial capital The Rotman School of Management at the University of Toronto is ranked the #1 Business School in Canada by the Financial Times. Our campus is based in downtown Toronto, the financial capital of Canada, and the third largest in North America after New York and Chicago.

Toronto is consistently rated as one of the most live able and culturally diverse cities in the world. Learn from the best You will be taught during this program by academics who are leader in the field, such as John Hull, Peter Christoffersen and Alan White. The finance faculty at Rotman School of Management are consistently ranked in the top 10 in the world by the Financial Times. Real-world experience You will have the opportunity to gain real-world experience during the Risk Management Project which takes place midway through the program.

You will work on a real risk issue that is relevant and of interest to financial institutions. During the two-month project you will be taken out of the classroom and into industry, working in-house with practicing risk management professionals. Throughout the project you will receive guidance from a faculty mentor. Innovative resources. The BMO Financial Group Finance Research and Trading Lab allows you to gain access to live data feeds, take part in simulations, manage your own portfolio, experiment with different trading strategies, and test your risk management ideas.

Program Outlines

Course Overview

  • Teaching method: Face to Face
  • Full Time Duration: 8 months
  • This Program is taught in: English

Ratings:

  • Course rating:
  • University rating:
  • Value for money:

Fees:

  • Domestic Students: 43,200 CAD (34,200 USD) full
  • International Students: 60,400 CAD (47,800 USD) full

Address

University of Toronto, Canada

What career paths do people with a Masters in Finance take?

  • Finance 23.2
  • Business Development 22.2
  • Entrepreneuership 8.2
  • Sales 6.9
  • Education & Academics 6.3
  • Operations 5.1
  • Consulting 4.9
  • IT 3.6
  • Research 3.3
  • Project Management 3.1

You might like to know more about

Improve Page Content

Improve Page Content

What was missing or incomplete?

Improve Page Content

What was wrong or outdated?

Improve Page Content

Please specify

Thanks for your feedback

;