Business & Management
AI-generated ยท unverified

Master of Science in Financial Analysis and Risk Management

American Graduate School in Paris, TBD, France
18 monthsUSD 17,500MasterPart-time

This program information was generated by AI and may not be fully accurate. Please verify with the university before applying.

About this program

An advanced program in quantitative finance, portfolio management, and risk analysis for financial professionals. Students learn computational methods, financial modeling, and international regulatory frameworks.

Requirements

Bachelor's degree in finance, economics, mathematics, or related field; proficiency in quantitative analysis; English language competency; undergraduate calculus and statistics.