A CUTTING-EDGE PROGRAMME
TO EQUIP FUTURE FINANCIAL LEADERS
FOR THE NEW DIGITAL ECONOMY

Technological change is revolutionising, transforming and disrupting the financial industry,
providing finance professionals with the ability to harness power and alpha from data and analytics
while building on the foundations of established methods such as factor investing, modern portfolio theory and deep value investing.
NUS Business School’s Centre for Asset Management Research and Investments (CAMRI) is launching an Executive Master of Science in Investments and Portfolio Risk Management (EMIR) programme to impart a quantitatively rigorous, in-depth curriculum covering key aspects of asset and risk management in the digital economy. Its emphasis on practical topics and innovations such as artificial intelligence, machine learning, digital technology, and live programming, equips rising finance professionals with the skills and knowledge to
effectively navigate through this evolving industry.

Learn More
Latest Events
29
Oct
Cologne – Coffee Chat
Details with the time and venue will be sent in our invitation email, Germany
30
Oct
Munich – Coffee Chat
Details with the time and venue will be sent in our invitation email, Germany
02
Nov
Frankfurt – Coffee Chat
Details with the time and venue will be sent in our invitation email, Germany

“Technological disruption in the financial industry is the new normal. The global pervasiveness of Fintech and its impact in various financial sectors will create a demand for specialised talent in our industry. With EMIR, our goal is to groom well-trained, skilful and well-intentioned professionals who are prepared to face the challenges of the future financial economy.”

Professor Joseph Cherian
Director, CAMRI
    EMIR