MBA students studying
Risk Management can expect to assume responsible management
positions early in their careers. The Risk Management concentration is designed to provide
a state-of-the-art education for future financial managers who
are responsible for the risk management function, such as in
Enterprise Risk Management, in a business firm, or who are
interested in insurance and brokerage operations.
Curriculum Requirements
In order to fulfill the concentration requirements, students must take the two
following courses:
RM 395.1 Managing Corporate Risk
RM 395.7 Managing International Risk
In addition, students must also choose three
courses from the list below:
FIN 394.1 Advanced Topics in Corporate Finance
FIN 397.1 Investment Theory & Practice
FIN 397.4 Financial Risk Management
IB 395 Global Strategy and Marketing
MAN 385 Corporate Governance
MKT 382 Invisible Global Marketing
MSC 392 Stochastic Models and Inventory Theory
OM 386 Supply Chain Management
OM 386.5 Managing Projects
PA 388K Topics in Public Policy
Total credit hours - 15
Recommended Electives:
FIN 394.2 Financial Strategies
RM 391 Mathematics of Finance
