
9 MBA Programs in Risk Management 2023
Overview
Risk management involves the identification, prioritization and assessment of financial risks. Students learn to help businesses reach their goals by reducing uncertainty. In the process, specific resources are applied with the goal of minimizing, controlling and monitoring possible losses or unfortunate events.
- Applied Finance (3)
- Business Finance (17)
- Compliance (2)
- Corporate Finance (6)
- Finance and Banking (4)
- Finance and Economics (6)
- Financial Analysis (2)
- Financial Economics (1)
- Financial Engineering (2)
- Financial Management (28)
- Financial Planning (2)
- International Finance (5)
- Quantitative Finance (2)
- Risk Management (9)
Other options within this field of study:
Filters
- Economic Studies
- Finance
- Risk Management
Find more locations
Language
Related fields of study
- Applied Finance (3)
- Business Finance (17)
- Compliance (2)
- Corporate Finance (6)
- Finance and Banking (4)
- Finance and Economics (6)
- Financial Analysis (2)
- Financial Economics (1)
- Financial Engineering (2)
- Financial Management (28)
- Financial Planning (2)
- International Finance (5)
- Quantitative Finance (2)
- Risk Management (9)