The Master of Management Studies in Systemic Risk at Yale School of Management is a unique, specialized, one-year, in-residence program designed for early- and mid-career professionals from central banks and major regulatory agencies with a mandate to manage systemic risk. Established in 2017 and enrolling global cohorts, the curriculum includes core studies in macroprudential policy, central banking, financial crisis management, and global financial regulation, complemented by elective coursework in statistics, economics, and finance. The program aims to equip students with advanced understanding and practical skills to lead systemic risk management and financial stability efforts in their home institutions.
来源:
https://som.yale.edu/programs/mms-systemic-risk/admissions/faq