Duration 2 Years |
Level Post Graduation |
Type Degree |
Eligibility Graduation |
MA Financial Risk Management or Master of Arts in Financial Risk Management is a postgraduate Financial Management course. Financial Risk Management is a branch of the arts that deals with the discipline of producing economic value in a corporation by utilizing financial instruments to control exposure to risk, notably credit risk and market risk. The Master of Arts in Financial Risk Management program typically lasts two academic years, however, this might vary depending on the school. The course syllabus is divided into four semesters, and once completed, students have several employment options.
MA Financial Risk Management Eligibility
MA Financial Risk Management Syllabus
Syllabus of Financial Risk Management course as prescribed by various Universities and Colleges.
MA Financial Risk Management Semester-I |
|
Sr. No. |
Subjects of Study |
1 |
Economic Analysis |
2 |
Financial Markets |
3 |
Foreign Exchange Management |
4 |
Indian Financial System |
MA Financial Risk Management Semester-II |
|
1 |
Economic Analysis-II |
2 |
Financial Services |
3 |
Management of Financial Institutions |
4 |
Project Management |
MA Financial Risk Management Semester-III |
|
1 |
Equity Markets |
2 |
Financial Management |
3 |
Investment Management and Security Analysis |
4 |
Management of Financial Risk |
5 |
Dissertation (Synopsis Preparation) |
MA Financial Risk Management Semester-IV |
|
1 |
Financial Derivatives |
2 |
Management of Financial Risk-II |
3 |
Management of Money and Debt Markets |
4 |
Operational Research |
5 |
Dissertation (Thesis Presentation) |
MA Financial Risk Management College
MA Financial Risk Management Course Suitability
How is the MA Financial Risk Management Course Beneficial?
MA Financial Risk Management Employment Areas
MA Financial Risk Management Job Types