Master of Financial Analysis (Financial Risk Management)
Study Area
Study Level
University
State
Course Detail
Campus
Intake Time
Standard Duration
About the Course
There's never been a more pressing time to master financial risk. In quickly changing markets, a deep understanding of financial risk can mean the difference between business success, solvency or liquidation. To give you these critical skills, we've worked closely with industry experts to create our Master of Financial Analysis (Financial Risk Management). Gain core skills in financial analysis and valuation, then develop your specialisation in financial risk and portfolio management. Learn in a trading room equipped with Bloomberg Terminals, then use them for your personal research and to obtain the Bloomberg Market Concepts (BMC) certificate. Get industry-recognised qualifications. La Trobe University is affiliated with the Chartered Financial Analyst (CFA) Institute and they recognise our Master of Financial Analysis (Financial Risk Management) as covering more than 70% of their Candidate Body of Knowledge. We'll also prepare you for accreditation with Global Association of Risk Professionals (GARP) – the world's leading professional organisation for risk managers.1
Requirements
Average Score