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Develop industry-relevant expertise in financial analysis, quantitative modeling, and risk management through Temple University's Fox School of Business Master of Science in Financial Analysis and Quantitative Risk Management. This innovative program merges the strengths of Temple's financial analysis curriculum with its quantitative finance and risk management offerings, providing a distinctive educational path that prepares students for both the CFA Exam Levels I-III and FRM Exam Parts I-II while pursuing graduate studies. Graduates gain access to varied career paths, acquiring skills in investment banking, asset management, and financial risk assessment. Master the analysis of emerging global market opportunities and complex financial instruments while exploring risk management methodologies such as corporate value optimization, derivatives pricing, comprehensive risk strategies, portfolio management, LBO and M&A deal evaluation, financial machine learning applications, computational valuation techniques, and advanced fixed income modeling approaches.