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M.Sc. in Financial Risk Management — study plan

University of Nizwa College of Economics, Management and Information Systems

Credit hours
30
Levels
2
Courses
12
Degree
master

The M.Sc. in Financial Risk Management study plan at University of Nizwa is an accredited master programme spanning about 1 years (2 academic levels), requiring 30 credit hours across 12 courses of required and elective study. The table below lists the courses and their credit hours for each level.

Programme Requirements (21 Credits) 24 credits

Code Course Credits
FIRM601 Quantitative Methods in Finance 3
FIRM612 Enterprise Risk Management 3
FIRM603 Principles of Risk Management 3
FIRM604 Financial Econometrics 3
FIRM610 Market and Credit Risk Modelling 3
FIRM606 Financial Risk Assessment 3
FIRM700 Master Thesis 6

Programme Electives (6 Credits — choose two) 15 credits

Code Course Credits
FIRM607 Financial Technology Elective 3
FIRM608 Islamic Finance Elective 3
FIRM605 Investment Analysis and Portfolio Management Elective 3
FIRM602 Advanced Corporate Finance Elective 3
FIRM613 Advanced Financial Markets and Instruments Elective 3

This plan is transcribed from the university's official source. Always confirm the plan approved for your own cohort before registering. Official source

Calculate your GPA for this major

Frequently asked questions about M.Sc. in Financial Risk Management

How many credit hours is M.Sc. in Financial Risk Management at University of Nizwa?

M.Sc. in Financial Risk Management at University of Nizwa requires completing 30 credit hours to graduate, spread across 12 courses.

How many years is M.Sc. in Financial Risk Management at University of Nizwa?

The study plan for M.Sc. in Financial Risk Management spans about 1 years (2 levels/semesters) under the approved plan.

What degree does M.Sc. in Financial Risk Management award?

M.Sc. in Financial Risk Management at University of Nizwa awards a Master's degree after completing 30 credit hours.

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