A PhD in Risk Management focuses on research in financial risk, insurance, compliance, & corporate risk strategies.
Master’s degree in Finance/Economics or related field with 55–60% marks. Entrance test or UGC-NET score is often required.
Apply to universities, clear the entrance or NET exam, and submit a strong research proposal during the interview stage.
Become a professor, risk analyst, policy advisor, or researcher in banks, corporates, or government sectors.
Book an appointment with Aimlay today for expert PhD admission guidance—get help with applications, research proposals, and approvals in one place!