Master’s Degree in Systemic Risk
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.
Видео Master’s Degree in Systemic Risk канала Yale School of Management
Видео Master’s Degree in Systemic Risk канала Yale School of Management
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5 февраля 2020 г. 2:45:44
00:04:43
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