This MSc prepares students to lead in today’s dynamic financial world by blending innovation-driven management with expertise in financial risk and markets. The program covers key topics such as M&A, regulatory compliance, digital assets, political and market risks, financial modeling, and emerging tools like big data, AI, and machine learning. Graduates will be equipped to manage risk and drive innovation in financial institutions and global markets.
MSc Finance, Risk and Markets
MSc Finance, Risk and Markets
Category:
200,000 AMD
- A bachelor’s diploma in a relevant field.Programmes in French / bilingual
English test : IELTS: 5, TOEIC: 700, TOEFL: 54-60, Duolingo: 70
Programmes in English
English test : IELTS: 6, TOEIC: 750, TOEFL: 800, Duolingo: 105
€12,000 per year
Tuition loans and Maintenance loans are available
