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04.06.2023
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Combinations of field of study and final degree
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Master's Programme Risk Management for the Financial Industry
Risk Management for the Financial Industry - Master's Programme
Course in course of study Master's Programme Risk Management for the Financial Industry (Master's Programme)
Category
Module
Module component
Pflichtmodule
rmf110 - Quantitative Methods
Seminar
rmf120 - Regulation of Financial Service Providers
Seminar
rmf140 - Monte Carlo Methods
Seminar
rmf150 - Quantitative Risk Management
Seminar
rmf160 - Portfolio and Capital Market Theory
Seminar
rmf170 - Business Evaluation
Seminar
rmf180 - Financial Instruments
Seminar
rmf300 - R -- Software und Tools für Financial Data Analytics
Seminar
rmf370 - Unternehmensbewertung und Unternehmensfinanzierung
Seminar
rmf360 - Finanzmärkte und Finanzmarkttheorie
Seminar
Wahlpflichtmodule
rmf510 - Risk Models
Seminar
rmf520 - Default Risk and Rating
Seminar
rmf530 - Information Management
Seminar
rmf540 - Asset Liability Management
Seminar
rmf550 - Aspects of Risk Management 1
Seminar
rmf560 - Ausgewählte Aspekte des Risikomanagements 2
Seminar
rmf130 - Financial Intermediation
Seminar
rmf190 - Accounting und Corporate Governance
Seminar
rmf200 - Qualitative Risk Management and Behavioural Finance
Seminar
rmf210 - Special Topics in Risk Management
Seminar
rmf220 - Risk Communication
Seminar
rmf570 - Financial Data Analytics mit R: Methoden und Anwendungen
Seminar
rmf130 - Financial Intermediation
Seminar
Abschlussmodul
mam - Abschlussmodul
Seminar