Financial Risk Management, M.S. (Hybrid)
The program course outline and graduation requirements for this catalog year are listed below. In addition, a 3.0 cumulative GPA is required for graduation. The department website provides an overview of the program, admission requirements, faculty biographies, learning outcomes, and careers: https://www.southernct.edu/academics/finance.
PROGRAM REQUIREMENTS (30-34.5 CREDITS)
Content Requirements
*May be waived based on prior academic or professional experience
FIN 500 – Financial Data & Computations*
FIN 600 – Portfolio Theory & Security Analysis *
Core Requirements (27 Credits)
FIN 605 – Fixed Income Risk Management
FIN 610 – Advanced Derivatives
FIN 620 – Financial Risk Management I: Banks & Regulations
FIN 625 – Financial Risk Management II: Market Risk
FIN 630 – Financial Risk Management III: Credit Risk
FIN 635 – Financial Risk Management IV: Enterprise Risk Mgmt.
FIN 640 – Financial Data Analytics & Forecasting
FIN 645 – FinTech I: Introduction to FinTech
FIN 650 – FinTech II: Risks & Internal Controls of Banking Technology
Capstone (3 Credits)
FIN 695 – Risk Management Capstone