The Master of Financial Engineering and Risk Management is designed to educate future leaders, strategic thinkers and researcher in the Financial Engineering and Risk Management sector. Students develop skills to provide insightful analysis of energy markets in order to inform future market orientation, capital asset decisions, and firm strategic direction. Built upon programs in the Finance Department of TEIAS, the Master of Financial Engineering and Risk Management provides a new avenue for energy professionals and researchers to develop human capital relevant for business development and/or research. Our program collaborates with reputable scholars and professionals to teach program electives and impart a deeper understanding of specialized fields as well as give participants an opportunity to network and field questions directly to the experts.
Students will learn to analyze energy markets and the micro and macro impacts of various stimuli for the research. They also develop quantitative skills to better utilize data to inform strategic decisions and research.