

Financial Risk Management MSc
- Public University
The UCL School of Management
Financial Risk Management MSc at UCL University Overview
Duration | 1 year |
Tuition & Fees | ₹51.53 Lakh Get Fees details |
International Students Admission Website | Go to Website |
Official Career Service Website | Go to Website |
Course Level | PG Degree |
Financial Risk Management MSc at UCL University Fees
The University College London Financial Risk Management MSc fees includes first year tuition fee and cost of living for international students. The first-year tuition fee is around GBP 44,400. In addition to tuition costs, international students must manage their living expenses such as housing, food, and other utilities, which contribute to the total cost of living, estimated at GBP 11,266. The University College London cost varies depending on the additional cost.
Refer to the table below for a detailed fee breakup of the University College London Financial Risk Management MSc.
| Fees components | Amount (for 1 year) |
|---|---|
| Tuition & fees | INR 51,52,620 |
| Fees components | Amount (for 1 year) |
|---|---|
| Hostel & Meals | INR 13,07,419 |
| Insurance | INR 90,055 |
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Financial Risk Management MSc at UCL University Entry Requirements
- No specific cutoff mentioned
- 60%
- Read less
- Students must have a minimum of an upper second class UK Bachelors degree in a relevant discipline or an overseas qualification of an equivalent standard with a strong quantitative component evidenced by good performance higher than 60% in relevant math, statistics or computation options OR
- A Bachelors degree with a minimum overall CGPA of 7.75/10, 6.25/8.0, 5.75/7.0, 4.25/6.0, 3.3/4.0, or 60% where a GPA scale is not used

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- Marks - 69/90
- Minimum of 62 in each Communicative Skill

Calculate your score and check your eligibility at over 2000+ universities.
- Marks - 7/9
- Minimum of 6.5 in each of the subtests
- Get a Full FREE IELTS Prep Course with Shiksha Study Abroad – Limited Seats for Weekend & Weekday Batches! Register now for IELTS
- No specific cutoff mentioned
- Yes
- Students may get a conditional offer
Financial Risk Management MSc at UCL University Application Process
- Academic transcript provided in English
- Applicant should also outline their career goals through activities such as work experience, internships, and/or volunteering
- A personal statement is required so as to outline the motivation for studying management and future career aspirations . Applicant should consider the following questions when writing your personal statement, Personal statement should be no longer than two sides of A4 paper
- Why do applicant wants to undertake the programme or research?
- What are applicant's academic interests?
- Why do applicant wish to study at UCL?
- What educational experience does the applicant has?
- Does applicant has any relevant work experience?
- Has applicant completed any extracurricular and voluntary activities relevant to the programme?
- What are applicant's career aspirations?
- Copy of passport
- GMAT or GRE score if required
- Proof of English language proficiency
- Students can pay in three equal installments; the first before or at enrolment, the second by 7 February, and the third by 2 May.
Financial Risk Management MSc at UCL University Rankings
| Rank | Rank Publisher |
|---|---|
| #10 | |
| #13 | |
| #5 |
Financial Risk Management MSc at UCL University Placements
| Particulars | Statistics (2021) |
|---|---|
| Internship Available | Yes |
University College LondonStudents Ratings & Reviews
- 50% students never faced discrimination in this university
Financial Risk Management MSc at UCL University Highlights
- This MSc program, which has been designed in conjunction with leading risk professionals, aims to meet the growing demand for professionals who are highly skilled in quantitative risk management. Students gain core competencies in risk analysis and have the opportunity to tailor the program to their own interests and needs through the wide variety of options available
- Students will be educated to an advanced level in programming and computing and will gain mathematical, statistical and computational modeling skills. They will have a clear appreciation of different types of risk within the industry, and of the managerial and psychological issues related to risk control
- The program consists of four core modules (60 credits), four optional modules (60 credits) and a research dissertation (60 credits)
Financial Risk Management MSc at UCL University Scholarships
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