• The Rotman Master of Financial Risk Management is a focused degree designed for quantitatively-strong students eager to hone their skills for the innovation-focused economy.
  • The Master of Financial Risk Management is a full-time program that runs from September to June.
  • Students will work closely with practicing risk management professionals, while receiving oversight from faculty mentors. They will present their findings to practitioners, fellow students and faculty at the end of the project.
  • The faculty and student ratio for this program is 1:19.
  • Courses that students will study:
    • Derivative Models for Risk Management
    • Regulation of Financial Institutions
    • Operational Risk
    • Advanced Investments
    • Innovations in Financial Technology