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The Master of Science in Quantitative Finance and Risk Management equips students with advanced skills in quantitative modeling, risk assessment, and data science, aligned with current financial industry standards. This distinctive 30-credit program stands as the sole offering of its type in the Philadelphia area, enabling candidates to earn both a respected graduate degree and the Financial Risk Manager (FRM) certification concurrently. Temple University's Fox School of Business delivers this comprehensive curriculum, preparing graduates for high-demand positions in quantitative finance and risk analysis. Students gain proficiency in cutting-edge financial technologies, global market dynamics, and specialized competencies such as derivatives pricing, comprehensive risk strategies, financial machine learning applications, computational valuation techniques, fixed income analytics, and structured product expertise.