Master’s Degree in Systemic Risk
Автор: Yale School of Management
Загружено: 2020-02-04
Просмотров: 3346
Описание: A first-of-its-kind, specialized master’s degree for early- and mid-career employees of central banks and other major regulatory agencies with a mandate to manage systemic risk. The year-long program focuses in macroprudential policy, financial crisis management, global financial regulation, monetary economics, capital markets, and central banking.
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