the mba in risk management management at siet institute of management is a full-time two-year program the program covers topics such as financial risk management operational risk management enterprise risk management and risk analytics the selection process for the program is based on the candidate's performance in the entrance exam and personal, the two-year full time mba program at siet institute of management is designed to equip students with the knowledge and skills required to manage risk in the corporate world the program covers topics such as financial risk management operational risk management enterprise risk management and risk analytics the program also includes internships and projects to give students, the mba in risk management management at siet institute of management is a two-year full-time program designed to equip students with the knowledge and skills required to manage risk in the corporate world the program covers topics such as financial risk management operational risk management enterprise risk management and risk analytics the curriculum of the, the mba in risk management management at siet institute of management is a two-year full-time program designed to equip students with the knowledge and skills required to manage risk in the corporate world the program covers topics such as financial risk management operational risk management enterprise risk management and risk analytics the program also provides, the mba in risk management management at siet institute of management is a two-year full-time program designed to equip students with the knowledge and skills required to manage risk in the corporate world the program covers topics such as financial risk management operational risk management enterprise risk management and risk analytics the program also includes
Course Duration | Course Level | Course Tuition Fees | Mode of Study | Institute Type |
---|---|---|---|---|
2 years | MBA | $20,000 | Online | SIET Institute Of Management |
Semester | Subjects | Topics |
---|---|---|
1st Semester | Introduction to Risk Management | Risk Identification, Risk Assessment, Risk Control, Risk Financing, Risk Communication, Risk Governance |
2nd Semester | Risk Analysis and Modeling | Probability Theory, Statistical Analysis, Decision Analysis, Simulation Modeling, Risk Modeling, Risk Model Validation |
3rd Semester | Risk Management Strategies | Risk Management Process, Risk Management Policies, Risk Management Tools, Risk Management Techniques, Risk Management Frameworks |
4th Semester | Risk Management Applications | Risk Management in Banking, Risk Management in Insurance, Risk Management in Investment, Risk Management in Supply Chain, Risk Management in Project Management |
Topic | Description |
---|---|
Risk Identification | Understanding the sources of risk and their potential impacts |
Risk Analysis | Analyzing the probability and impact of risks |
Risk Management Strategies | Developing strategies to manage and mitigate risks |
Risk Monitoring and Control | Monitoring and controlling risks to ensure they remain within acceptable levels |
Risk Communication and Reporting | Communicating and reporting on risks to stakeholders |