MS Finance and Risk Management at University of Colorado Denver

USD 26,250

University of Colorado Denver, USA

Type: Masters Duration: 2.0 years

Explore the MS Finance and Risk Management program at University of Colorado Denver. This program is offered in USA and provides an excellent learning opportunity in Masters studies.

The online Master of Science in Finance and Risk Management at the University of Colorado Denver equips students with essential financial expertise and advanced risk assessment skills. This program, recognized as the #1 MS Finance program in Colorado, offers a comprehensive curriculum that integrates quantitative skills with practical applications in finance. Students will engage with industry-standard software and databases, including Bloomberg and Morningstar, and have access to a state-of-the-art trading lab. The program includes core courses and electives, allowing for specialization in areas such as commodities, finance, and risk management. Graduates will be well-prepared for upper-level finance positions and to take the Chartered Financial Analyst (CFA) exam, thanks to the program's alignment with CFA Institute standards. With options for both full-time and part-time study, this degree provides flexibility for working professionals seeking to advance their careers in finance.

University
University of Colorado Denver
University Location
USA (Online)
Program Duration
2.0 years
Ranking
#769
Part-time allowed
Yes

Required Courses
  • Financial management
  • Macroeconomics and financial markets
  • Quantitative methods for finance
  • Applied economics for managers
  • Investment management analysis
  • Survey of financial and commodity derivatives
Elective Courses
  • Short-term financial management
  • Financial modeling
  • Financial decision and policies