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MSc Risk Management (16 Months)

Different course options

Full time | Glasgow Caledonian University | 16 months | JAN-26

Study mode

Full time

Duration

16 months

Start date

JAN-26

Key information
DATA SOURCE : IDP Connect

Qualification type

MSc - Master of Science

Subject areas

Risk Management

Course Summary

All decision-making entails uncertainties and the challenges posed by risk have never been more apparent. Adaption to this ''new normal'' is essential. Consider: Seismic ripples from health pandemics will reverberate throughout the foundations of society for years to come, Increasingly volatile climate-related events are unravelling organisational plans in the short and long term, Geopolitical tensions, populist forces, terrorism and escalating trade wars distort the once-calm waters of multinationals and Corporate reputations are precarious and a minor error on social media can induce crisis. The path to risk resilience is as exciting as it is complex and requires a new generation of skilled risk managers to lead the way. Join a leading UK provider with over 30 years’ Risk Management teaching experience and benefit from our longstanding links and excellent reputation with industry bodies and professionals while developing the advanced skillset employers need today and in the future. This course provides you with contemporary knowledge of risk practices. This includes: crisis management, cyber risk, insurance and risk transfer, business continuity management and managing risk in a global context. You will explore state-of-the-art risk management processes enabling you to identify emerging organisational risks, analyse and model their effects and design effective response strategies. Study Risk Management at GCU and turn risk into your opportunity.Having a recognised degree-level risk management qualification will give you access to a career in any industry sector. GCU’s Risk Management graduates have gone on to work with PwC, Marsh & McLennan, GSK, Morgan Stanley, ScottishPower, Aviva, Lloyds of London, Transport for London (TfL), Balfour Beatty, Camelot, Network Rail, Tesco Financial Services, Local authorities and government organisations, Aon and the NHS.

Modules

The module aims to develop a critical awareness of the financial risks inherent in financial markets and analyse the products which are used to manage these risks. You will be able to carry out a comparative analysis of the different types of fund management, highlighting the advantages and disadvantages, be able to critically analyse the methods of asset pricing which are available and ultimately create and justify your selection of various investment portfolios.

Tuition fees

UK fees
Course fees for UK students

Contact University and ask about this fee

International fees
Course fees for EU and international students

For this course (month)

£1,350

Entry requirements

UK honours degree 2:2 (or equivalent) in any subject area. Fast-track option available with the Institute of Risk Management.