学校名：University of Manchester
概要：Ensuring that the mathematics element is accessible, the course offers a good balance between mathematics and finance, covering a range of skill sets in quantitative finance, financial econometrics, mathematics and statistic, and several specialist topics in risk management. It is particularly suitable for students with a degree that is strong in quantitative training (see entry requirements), as well as relevant practical experience (non-compulsory) via employment. It is suited to those wishing to gain salary enhancements, or students wishing to pursue further and advanced studies in quantitative finance and risk management. The course provides an advanced knowledge and understanding of the main theoretical and applied concepts in quantitative finance and risk management, delivered from a genuinely international and multicultural perspective, and with a `current issues' approach to teaching. The course is particularly useful for careers that involve risk management and risk regulation in financial markets and financial institutions.
コース名：Quantitative Finance: Risk Management MSc
faculity：Manchester Business School