Programs / United States / University of Colorado Denver / MS Finance and Risk Management

MS Finance and Risk Management

University of Colorado Denver πŸ‡ΊπŸ‡Έ United States
MS Master English

Course Overview

Course Overview Our MS in Finance and Risk Management equips you with the advanced quantitative and analytical skills required to excel as a financial manager or investment analyst in today's complex business environment. This hands-on program offers deep insight into financial markets, instruments, and institutions, preparing you to make critical investment and financing decisions. You can tailor your degree with a specialized concentration and enjoy the flexibility of completing the program fully online. Key Program Highlights Gain expertise in financial markets, instruments, and institutional frameworks Develop advanced quantitative and analytical skills for informed decision-making Choose from five specializations including Commodities and Risk Management & Insurance Explore cutting-edge topics like behavioral finance and international corporate governance Complete the degree with full flexibility through online or on-campus courses

Available Intakes

August 2026
CampusDenver Campus
CityDenver
ModeFullTime
Duration12 Months
FeeUSD 19,028
August 2026
CampusDenver Campus
CityDenver
ModeFullTime
Duration24 Months
FeeUSD 19,028
June 2026
CampusDenver Campus
CityDenver
ModeFullTime
Duration12 Months
FeeUSD 19,028
June 2026
CampusDenver Campus
CityDenver
ModeFullTime
Duration24 Months
FeeUSD 19,028