Dear all, can anyone shed some light on whether there is any difference between MFE and Master of Science in Financial Risk Management degree? I just come across this degree offered by the University of Reading (UK). The course covers securities, futures, options, fixed income and equity investments, quantitative methods for finance, financial markets, credit riak and market risk.
It claims that graduates from this course are well positioned to take the FRM exams.
My question is how does this Ms in Financial Risk Management degree compare with the MFE in helping with getting a job after graduation, for students with no prior finance working experience?
It claims that graduates from this course are well positioned to take the FRM exams.
My question is how does this Ms in Financial Risk Management degree compare with the MFE in helping with getting a job after graduation, for students with no prior finance working experience?