The financial sector faces imminent technological disruptions and volatility across business models and structures. Our newly launched Executive Master of Science in Investments and Portfolio Risk Management (EMIR) programme will help you to build and develop your analytical skills and ethical framework to tackle real world challenges. EMIR is a specialised and comprehensive programme targeted towards Portfolio & Risk Managers, Computer & Data Scientists in Finance, Quant Traders, Actuaries, Finance Managers, Economists and the likes to meet the asset management industry’s demands in the new digital economy. Structured over 14 months, you will learn from distinguished faculty members with recognised expertise in their fields as well as deep practical industry experience.
Our highly-regarded Centre for Asset Management Research & Investments (CAMRI) will deliver your experiential learning journey through the use of state-of-the-art facilities and resources. Visit the CAMRI website and Follow Us on LinkedIn to learn more.