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Business
Financial Risk Management MSc
Financial Risk Management MSc

Financial Risk Management MSc

  • ID:UoGC440300
  • Level:Master's Degree
  • Duration:
  • Intake:

Fees (GBP)

* Deposits.Fee for re-assessment of a dissertation (PGT programme): £360 Submission of thesis after deadline lapsed: £340 Registration/exam only fee: £160

Estimated Total/program:
Apply
60
Accept letter
100
Visa
20
Fly
1

Admission Requirements

Entry Requirements

Engilsh Requirements

International English Language Testing System (IELTS) Academic module (not General Training):

  • overall score 6.5

  • two sub-tests no less than 6.5, no sub-test less than 6.0

  • or equivalent scores in another recognised qualification:

Common equivalent English language qualifications

All stated English tests are acceptable for admission for both home/EU and international students for this programme:

  • ibTOEFL: 90; no sub-test less than:

    • Reading: 20

    • Listening: 19

    • Speaking: 19

    • Writing: 23

  • CAE (Cambridge Certificate of Advanced English): 176 overall; no sub-test less than 169

  • CPE (Cambridge Certificate of Proficiency in English): 176 overall; no sub-test less than 169

  • PTE Academic (Pearson Test of English, Academic test): 60; no sub-test less than 59

  • Trinity College London Integrated Skills in English: ISEII at Distinction with Distinction in all sub-tests

For international students, the Home Office has confirmed that the University can choose to use these tests to make its own assessment of English language ability for visa applications to degree level programmes. The University is also able to accept an IELTS test (Academic module) from any of the 1000 IELTS test centres from around the world and we do not require a specific UKVI IELTS test for degree level programmes. We therefore still accept any of the English tests listed for admission to this programme.

Course Information

This programme focuses on the risk management and the quantification of several types of risk such as financial, including market risk and some elements of liquidity and counterpart risk.

Financial Risk Management will provide you with a thorough understanding of

  • advanced econometric analysis

  • theories of risk, including bond market interest rate determination,  market risk, liquidity risk and counterpart risk

  • the role and impact of financial regulations.

​More information:click here

 

 

You will take four core and two optional courses and complete a substantial independent piece of work, normally in the form of a dissertation.

Teaching will be blended; live classes delivered remotely (eg Zoom or Microsoft Teams), recorded lectures and face-to-face teaching. You will meet faculty, and with each other, both through our virtual learning environment and through face-to-face interactions. You will study on and off campus, as you do normally. The aim is to deliver as much synchronous face-to face teaching as we can, as well as for instance, classes in laboratories, seminars and guest lectures. At all times, we will put your health and safety first: this means closely following and reacting to national guidelines.

Core courses

  • BASIC ECONOMETRICS*

  • ECONOMIC FUNDAMENTALS AND FINANCIAL MARKETS

  • FINANCIAL MARKETS, SECURITIES AND DERIVATIVES

  • HEDGE FUND RISK MANAGEMENT

Sample optional may include

  • APPLIED COMPUTATIONAL FINANCE

  • CORPORATE FINANCE AND INVESTMENT

  • INTERNATIONAL FINANCE AND MONEY

  • INVESTMENT, FINANCE AND ASSET PRICES

  • MATHEMATICAL FINANCE

  • PORTFOLIO ANALYSIS AND INVESTMENT

*If you have a strong background in econometrics you can swap this course with Modelling and forecasting financial markets.

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Pre Courses

Pre-Sessional English Course

This depends on your starting level. For students aiming for the standard requirement of IELTS 6.5 and starting a degree programme in September we recommend

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Pathway Courses

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Career Opportunity

Career Opportunity

As a graduate you will be qualified to work in risk management, asset management companies, hedge funds, wealth management banks and central banks. Graduates have found employment with companies such as Morgan Stanley, HSBC, KPMG, and the Royal Bank of Scotland. We have a dedicated careers and employability team who provide 1-2-1 support and advice, group workshops, employer events on campus and networking opportunities throughout the year to help you with your career prospects.

Ability to settle

Overseas Student Health Cover

Insurrance_fee: £300/year

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