Insurance and Risk Management Master (Thesis)

The Master’s Program in Insurance and Risk Management (Thesis) has been designed to educate prospective managers capable of managing the risks of all types of institutions and insurance companies, as well as to train academics who will contribute to the implementation of risk management practices through scientific methods. Unlike other master’s programs in Insurance and Risk Management, this program has been developed by explicitly incorporating the risk categories defined under the Solvency II Directive, including market risks, operational risks, and technical risks.

Mission
To educate graduates who closely follow developments in the field of insurance, are aware of the needs of the sector, and are capable of adapting to digital transformation.

Vision
To become a program that continuously monitors developments in the insurance sector at a global scale and consistently updates its academic and practical content.

Contact:
Graduate School of Trade and Finance Student Affairs
Mihriban Şenol
tfe@ticaret.edu.tr – 444 0 413 / Extention: 4762

 

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