Study Risk Management (Certificate) at Illinois Institute of Technology in the USA, Stuart School of Business

Risk Management (Certificate)

USA

6

What will I learn?

The Master of Science in Finance program at Stuart School of Business, nationally ranked in the United States by TFE Times, offers a variety of graduate certificate programs specifically designed for finance professionals who want to enhance their specialized expertise to propel their careers forward, as well as earn stackable credentials as part of a degree program.Key topics covered in the Certificate in Risk Management include:Issues related to investment and its risk management, including statistical techniques around asset returns and asset volatilitiesModels used to analyze credit risk exposuresThe econometric theory and practice of time series analysis, with an emphasis on practical skillsCertificate students take courses alongside degree-seeking students and benefit from the same industry-experienced faculty, hands-on approach, and curriculum that is attuned to leading-edge finance practices and technologies.Convenient for busy professionals, courses are scheduled in the evening at Illinois Tech’s Conviser Law Center in downtown Chicago. The Certificate in Risk Management covers credit risk, market risk and the time series analysis tools useful for estimating these risks. Courses include exercises with large data sets so students can learn to apply a variety of quantitative tools.

Which department am I in?

Stuart School of Business

Study options

Full Time (1 Semester)

Tuition fees
US$17,325.00 per year
Student Activity Fee - $125 per semester
Start date

May 2027

Venue

Mies (Main) Campus

10 West 35th Street,

Chicago,

Illinois,

60616, Midwest, United States

Full Time (1 Semester)

Tuition fees
US$17,325.00 per year
Student Activity Fee - $125 per semester
Start date

August 2027

Venue

Mies (Main) Campus

10 West 35th Street,

Chicago,

Illinois,

60616, Midwest, United States

Entry requirements

For international students

Bachelors degree from an accredited institution with a minimum cumulative undergraduate grade-point average of 2.5 on a 4.0 scale (or equivalent)

Work experience is preferred

Completion of MSF 501, MSF 502, MSF 503, MSF 504, MSF 505, and MSF 506 OR equivalent as demonstrated by coursework in calculus, python programming, basic statistics, asset pricing theory (CAPM and APT), understanding of the futures and options markets and introductory accounting

*There may be different IELTS requirements depending on your chosen course.

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