m.s ramaiah institute of management offers a two-year mba in risk management program to equip students with the knowledge and skills required to manage risk in the corporate world. the program is designed to provide students with an understanding of the various aspects of risk management, such as financial risk, operational risk, and compliance risk. the eligibility criteria for the program is a bachelor's degree in any discipline with a minimum of 50% marks. the program covers important topics such as financial risk management, credit risk management, market risk management, operational risk management, and enterprise risk management. the admission process includes an entrance exam followed by an interview. the career prospects after completing the mba in risk management at m.s ramaiah institute of management are excellent, with students being able to pursue a career in banking, insurance, finance, and other related fields.
Course Duration | Course Level | Course Tuition Fees | Mode of Study | Institute Type |
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2 Years | Post Graduate | INR 8.5 Lakhs | Full Time | Private |
Semester | Subjects/Topics |
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Semester 1 | Financial Accounting, Managerial Economics, Quantitative Methods, Organizational Behaviour, Business Communication, Business Law, Management Information Systems, Financial Management, Marketing Management |
Semester 2 | Operations Management, Human Resource Management, Strategic Management, Business Research Methods, Risk Management, Business Ethics and Corporate Governance, International Business, Project Management, Business Analytics |
Semester 3 | Risk Management & Insurance, Risk Management & Financial Derivatives, Risk Management & Investment Strategies, Risk Management & Portfolio Management, Risk Management & Corporate Governance, Risk Management & Financial Modeling, Risk Management & Risk Analysis, Risk Management & Risk Control, Risk Management & Risk Management Systems |
Semester 4 | Risk Management & Risk Management Strategies, Risk Management & Risk Management Techniques, Risk Management & Risk Management Tools, Risk Management & Risk Management Process, Risk Management & Risk Management Practices, Risk Management & Risk Management Applications, Risk Management & Risk Management in Banking, Risk Management & Risk Management in Insurance, Risk Management & Risk Management in Capital Markets |
Semester | Important Topics |
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1st Semester | Introduction to Risk Management, Risk Identification and Analysis, Risk Measurement and Evaluation, Risk Control and Mitigation |
2nd Semester | Risk Governance and Compliance, Risk Financing and Insurance, Risk Modelling and Simulation, Risk Management in Financial Markets |
3rd Semester | Risk Management in Banking, Risk Management in Capital Markets, Risk Management in Insurance, Risk Management in Derivatives |
4th Semester | Risk Management in Project Management, Risk Management in Supply Chain, Risk Management in Corporate Governance, Risk Management in Enterprise Risk Management |