Master of Science in Financial Analysis and Quantitative Risk Management Postgraduate Program By Fox School of Business and Management |Top Universities

Program overview

Main Subject

Finance

Degree

MSc

Study Level

Masters

Study Mode

Online

Build industry-matched knowledge and skills across the fields of financial analysis, quantitative modeling and risk management with the Master of Science in Financial Analysis and Quantitative Risk Management from Temple University’s Fox School of Business. Combining the benefits of Temple’s financial analysis program and its quantitative finance and risk management program, the Master of Science in Financial Analysis and Quantitative Risk Management offers a unique curriculum that supports pursuing both the Chartered Financial Analyst (CFA) Exam Levels I through III and the Financial Risk Management (FRM) Exam Parts I and II during your graduate studies.
The Financial Analysis and Quantitative Risk Management MS leads to diverse career opportunities, developing traditional investment banking, investment management and financial risk management expertise. Learn to analyze evolving global business opportunities and specialized financial products, and gain insight into risk management best practices, including
  • corporate value management,
  • derivative valuation,
  • enterprise risk management,
  • investment management,
  • leveraged buyout (LBO) and merger and acquisition (M&A) transaction analysis,
  • machine learning in finance,
  • numerical valuation methods and
  • quantitative fixed income modeling.
Perhaps the only program of its kind, the Master of Science in Financial Analysis and Quantitative Risk Management accounts for both the CFA and FRM body of knowledge with interdisciplinary studies in
  • behavioral finance,
  • computational programming,
  • continuous time finance,
  • corporate finance,
  • data science for finance,
  • econometric and time series analysis,
  • financial risk management,
  • global markets,
  • investment management, and
  • numerical methods.
Through one-on-one advising and career coaching, dedicated professional development seminars and access to resources through the renowned Center for Student Professional Development, you’ll shape a unique professional future, tailored specifically to your long-term career goals.

Program overview

Main Subject

Finance

Degree

MSc

Study Level

Masters

Study Mode

Online

Build industry-matched knowledge and skills across the fields of financial analysis, quantitative modeling and risk management with the Master of Science in Financial Analysis and Quantitative Risk Management from Temple University’s Fox School of Business. Combining the benefits of Temple’s financial analysis program and its quantitative finance and risk management program, the Master of Science in Financial Analysis and Quantitative Risk Management offers a unique curriculum that supports pursuing both the Chartered Financial Analyst (CFA) Exam Levels I through III and the Financial Risk Management (FRM) Exam Parts I and II during your graduate studies.
The Financial Analysis and Quantitative Risk Management MS leads to diverse career opportunities, developing traditional investment banking, investment management and financial risk management expertise. Learn to analyze evolving global business opportunities and specialized financial products, and gain insight into risk management best practices, including
  • corporate value management,
  • derivative valuation,
  • enterprise risk management,
  • investment management,
  • leveraged buyout (LBO) and merger and acquisition (M&A) transaction analysis,
  • machine learning in finance,
  • numerical valuation methods and
  • quantitative fixed income modeling.
Perhaps the only program of its kind, the Master of Science in Financial Analysis and Quantitative Risk Management accounts for both the CFA and FRM body of knowledge with interdisciplinary studies in
  • behavioral finance,
  • computational programming,
  • continuous time finance,
  • corporate finance,
  • data science for finance,
  • econometric and time series analysis,
  • financial risk management,
  • global markets,
  • investment management, and
  • numerical methods.
Through one-on-one advising and career coaching, dedicated professional development seminars and access to resources through the renowned Center for Student Professional Development, you’ll shape a unique professional future, tailored specifically to your long-term career goals.

Admission Requirements

3+
7.5+
100+
72+
GRE: Scores for the GRE typically fall within the following percentile ranges: 50 to 99 Verbal; 80 to 99 Quantitative.

22 Months
Aug

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