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Master of Science (Actuarial Management) Structure B

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UCSI University Malaysia(Kuala Lumpur)

Master of Science (Actuarial Management) Structure B

university icon
UCSI University Malaysia(Kuala Lumpur)

Master of Science (Actuarial Management) Structure B

Qualification
Master's Degree
Duration
1 years
Intake
JanJanMayMaySepSep
English Requirement
IELTS 6.0
Offer Letter
Free
Class Type
Physical
Course Fee for International Students
Yearly Tuition fees
Year Fee
1st YearMYR 33,339
Other Fees
Description Fee
Deposit (Refundable)MYR 1,500
Facilities Fee (Yearly)MYR 2,610
International Administration FeeMYR 4,200
Registration FeeMYR 450
Visa and Insurance (EMGS)MYR 5,356

Would you like to apply to
UCSI University Malaysia ?

The Master of Science (Actuarial Management) Structure B at UCSI University is designed to elevate the university's offerings in Actuarial Studies to the graduate education level, following the successful accreditation of its undergraduate programs. This master's program covers all topics related to the first four CAS/SOA exams, enabling students to earn a Master's degree in the field.

As a postgraduate program, the MSc in Actuarial Management emphasizes the theoretical fundamentals of the discipline. Structure B, specifically, is tailored for individuals who already hold a degree in actuarial science or a related quantitative discipline. It aims to enhance their theoretical foundation and develop research skills.

This mixed-mode approach is ideal for those looking to venture into academia or pursue management roles that require rigorous investigative tasks, offering a comprehensive pathway for advanced career development in actuarial management.

Entry Requirements

A Bachelor’s degree with minimum CGPA of 2.75 out of 4.00 or its equivalent qualifications as accepted by the HEP Senate.

For other qualifications and certificates (e.g.,Other qualifications equivalent to a Bachelor’s degree , etc..) please contact our educational consultants or submit your application for Admission assessment.

Future Careers 

  • Insurance and reinsurance companies
  • Banking and finance
  • Consulting firms
  • Service firms
  • Government agencies
  • Universities and educational institutions

Structure B – Mixed Mode

Semester 1

  • Probability and Statistical Method
  • Research Methods for Business and Management
  • Life Contingency
  • Actuarial Models

Semester 2

  • Empirical Modelling for Actuary
  • Insurance Business Practices
  • Empirical Workshop
  • Elective

Semester 3

  • Research Thesis

Electives

  • GD 401 Quantitative Equity Portfolio Management
  • GD 506 Stochastic Process for Financial Economic
  • GD 403 Asset Liability management
  • GM 502 Marketing Management
  • GM 524 Ethics and Corporate Social Responsibility
  • GM 512 Business Policy and Strategic Management
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