Students
Tuition Fee
Start Date
Medium of studying
Duration
Details
Program Details
Degree
Courses
Major
Financial Planning | Risk Management
Area of study
Business and Administration | Engineering
Course Language
English
About Program

Program Overview


Program Details

Degree

Certificate


School

School of Business


Available

On Campus & Online


Program Description

Apply engineering solutions to the finance industry and see the landscape from a more quantitative perspective.


What is an appropriate level of risk in financial markets? The technology-driven turbulence that has changed the fundamentals of the markets means professionals aiming to direct strategy in this space must thoroughly understand the financial system, its environment and the risk measures applied to it that help quantify risk in its multiple hierarchies. To be effective in this space, professionals must be capable of balancing shareholders' interests with the appropriate level of risk taken by managers and decision makers.


Courses in this certificate program emphasize a blend of technology and business that will help graduates to see the financial landscape from a systemic perspective and to analyze and manage risk efficiently.


Required Courses

  • FE 535 Introduction to Risk Management
  • FE 610 Stochastic Calculus for Financial Engineers
  • FE 635 Financial Enterprise Risk Engineering
  • FE 655 Systemic Risk and Financial Regulation

If desired, the above courses can be applied to a full graduate degree from the School of Business, such as the master's in Financial Engineering.


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