With an MS in Financial Risk Management at Baruch College, you will gain an in-depth look at the core areas of risk management, including interest rates, markets, credits, foreign exchanges, and more.
You will also develop a strong understanding of derivatives, and learn how to use analytical and quantitative models and methodologies in risk management. The cumulation of your knowledge can be applied to current issues and developing challenges in the field of risk management.
- 30 credits
- Standard completion time: 3 semesters
- Prepares students for professional certification exams in financial risk management
Programme StructureCourses include:
- Business Communication
- Econometrics Theory and Applications
- Investment Analysis
- Debt Instruments and Markets
- Options Markets
- Measurement and Management of Market Risk
- 18 months
Start dates & application deadlines
- Apply before
DisciplinesFinance Financial Mathematics View 197 other Masters in Financial Mathematics in United States
We are not aware of any academic requirements for this programme.
- Online Application
- Application Fee
- Standardized Test score (if applicable)
- Letters of Recommendation
International20106 USD/yearTuition FeeBased on the tuition of 30159 USD for the full programme during 18 months.
National20106 USD/yearTuition FeeBased on the tuition of 30159 USD for the full programme during 18 months.
In-State11894 USD/yearTuition FeeBased on the tuition of 17841 USD for the full programme during 18 months.
Living costs for New York City
The living costs include the total expenses per month, covering accommodation, public transportation, utilities (electricity, internet), books and groceries.
Studyportals Tip: Students can search online for independent or external scholarships that can help fund their studies. Check the scholarships to see whether you are eligible to apply. Many scholarships are either merit-based or needs-based.
Apply and win up to €10000 to cover your tuition fees.