Business School Master of Science in Finance and Risk Management - Economics دراسة University of Colorado - Denver في

Master of Science in Finance and Risk Management - Economics

أمريكا

6

ماذا سوف أتعلم؟

Empowering you with the knowledge to give sound financial advice and manage risk. Take advantage of CU Denver’s deep industry ties that connect you directly to companies inside and outside the classroom. Classes are held online, so you can take classes that work with your schedule. Experience hands-on learning with the software and databases you need to know, like Bloomberg, Morningstar, and CQG.A Master degree in Finance and Risk Management at CU Denver Business School will help you gain insight into the economics and finance behind modern business and add critical quantitative skills to your resume. As a part of theCFA Institute’s University Affiliation Program, a majority of the curriculum reflects the practice of investment management. By graduation, you’ll be prepared to pass the Chartered Financial Analyst (CFA) examand land upper-level finance positions. With this hands-on degree, you’ll have the opportunity to dive deep into special topics like behavioral and political finance and international corporate governance. With five specialization options, you can also choose to tailor your degree to focus on commodities, risk management and insurance, economics, financial analysis, or general finance.

في أي قسم أنا؟

Business School

خيارات الدراسة

دوام كامل (3 فصول دراسية)

رسوم التسجيــل
US$33,700.00 سنوياً
Student Services Fee - (Per-Term Fee) - $165.00
تاريخ البدء

يناير 2027

مكان عقــد الدورة

The Auraria Campus

1201 Larimer Street,

Denver,

Colorado,

80204, West, United States

دوام كامل (3 فصول دراسية)

رسوم التسجيــل
US$33,700.00 سنوياً
Student Services Fee - (Per-Term Fee) - $165.00
تاريخ البدء

يونيو 2027

مكان عقــد الدورة

The Auraria Campus

1201 Larimer Street,

Denver,

Colorado,

80204, West, United States

شروط القبول

للطلاب الدوليين

Applicants must have completed an undergraduate program at an accredited United States college or its equivalent in another country.No work experience or formal business education is required for admission, however, you may have to provide a GMAT or GRE score if you do not have enough work experience. The MS in Finance and Risk Management program does not require GMAT or GRE scores for their degree program as part of the graduate admissions requirements. The requirements are a cumulative GPA of 3.25 or better from a US accredited four-year undergraduate institution and three or more years of full-time professional work experience or the successful completion of a graduate degree.

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