Risk Management for Financial Institutions



Durationparttime 2.5 years (incl. thesis)
Lecturesweekly on Wednesday evenings 7-10 p.m.
Start Dateonce a year, in September
Assessmentevery semester: written examination and cases
Thesisthe course ends with a thesis on relevant practical subject
Languagedepending on group composition Dutch or English

Subjects of semesters

Semester 1 Foundations of Risk Management and Financial Institutions
Semester 2 (Risk) Managing Financial Institutions, methods & techniques, rules & regulations
Semester 3 Risk Management & Financial Markets
Semester 4 Human Behaviour & Event Risk driven Risk Management