Risk
Management Graduate Program
Overview
Investment decision-making increasingly requires a sophisticated understanding
of derivative instruments and financial risk measurement and control techniques.
Rigorously applied financial regulations, investment losses, and market volatility
all contribute to the changing world of investment decisions.
The University of San Francisco offers a Master of Science in Risk Management,
a graduate program that provides students with strong training in the knowledge
required by the Financial Risk Manager® (FRM) and the Chartered Financial
Analyst® (CFA® designation by the CFA Institute) programs.
CFA® and Chartered Financial Analyst® are trademarks owned by CFA Institute.
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