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Regular version of the site
Master 2022/2023

Risk Management in Financial Institutions

Area of studies: Economics
Delivered by: School of Finance
When: 2 year, 1, 2 module
Mode of studies: offline
Open to: students of one campus
Instructors: Andrey Egorov, Sergei Grishunin, Ella Khromova (Fokina), Voronovskaya Olga, Alexey Pastushkov, Henry I. Penikas, Marina Pomorina
Master’s programme: Statistical Modelling and Actuarial Science
Language: Russian
ECTS credits: 6
Contact hours: 60