$83,256 /Yr
On-campus
full_time
Master Systemic Risk
- In the wake of the financial crisis of 2008, central banks and other agencies took on new responsibility for managing systemic risk. Since then, the Yale School of Management has developed important capabilities in macroprudential financial regulation and the measurement and management of systemic risk.
- The school’s finance faculty has deep expertise in capital markets and has produced influential academic work about the origins of the crisis.
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Over the course of one academic year, students complete a slate of required courses focused on the global financial system and delve into specialized electives.
Tution & Application Fees
Year | Year 1 |
Tuition Fees | $79500 |
Health Insurance | $2756 |
Books and supply | $1000 |
Total Fees | $83256 |
Examinations
Exam Type | Exam Name | Score | Out of Score | Exam Level |
---|---|---|---|---|
IELTS | International English Language Testing System | 7 | 9 | 3 |
TOEFL | Test of English as a Foreign Language | 100 | 120 | 3 |
PTE | Pearson Test of English | 70 | 90 | 3 |
GRE | Graduate Record Examination | 322 | 340 | 2 |
Candidates applying for an MBA at Yale School of Management must meet the following eligibility requirements -
Academic Requirements:
- 4-year bachelor’s degree
- Undergraduate GPA over 3.3+ (on a scale of 4.0) Check: What is GPA?
Note: International students with a three-year degree can also apply
TOEFL-Score:
- TOEFL-iBT Score of 100 is mandatory. Equivalent IELTS Score is accepted.