Studyportals
M.Sc. On Campus

Financial Analysis and Quantitative Risk Management

22 months
Duration
1142 USD/credit 26785 USD/year
1142 USD/credit 26785 USD/year
1142 USD/credit 26785 USD/year
Unknown
Tuition fee
Unknown
Apply date
Unknown
Start date

About

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.

Overview

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 at Temple University 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.

Future Career

 The Fox Center for Student Professional Development (CSPD) provides students with career coaching and professional development resources that support the job search. Graduates develop industry-matched skills in finance that distinguish them for employment with accounting firms, commercial banks, consulting companies, financial technology firms, government and regulatory agencies, hedge funds, insurance companies, investment banks, and investment management companies.  

Programme Structure

Courses include:

  • Corporate Finance
  • Financial Accounting
  • Derivative Markets
  • Fixed Income
  • Financial Technology
  • Asset Pricing
  • Data Science in Finance

Key information

Duration

  • Full-time
    • 22 months
  • Part-time
    • 36 months

Start dates & application deadlines

Credits

43 alternative credits

Delivered

On Campus

Academic requirements

We are not aware of any academic requirements for this programme.

Other requirements

General requirements

  • Research your graduate degree program
  • Complete online application
  • Letters of Reference: 2
  • Coursework Required for Admission Consideration
  • Statement of Goals: Essay prompts can be found in the online application portal.
  • Resume: Current resume or CV is required.
  • Bachelor's Degree in Discipline/Related Discipline: A baccalaureate degree is required.

Tuition Fee

To alway see correct tuition fees
  • International

    26785 USD/year
    Tuition Fee
    Based on the tuition of 1142 USD per credit during 22 months.
  • National

    26785 USD/year
    Tuition Fee
    Based on the tuition of 1142 USD per credit during 22 months.
  • In-State

    26785 USD/year
    Tuition Fee
    Based on the tuition of 1142 USD per credit during 22 months.

Living costs for Philadelphia

1313 - 2284 USD /month
Living costs

The living costs include the total expenses per month, covering accommodation, public transportation, utilities (electricity, internet), books and groceries.

Funding

Studyportals Tip: Students can search online for independent or external scholarships that can help fund their studies. Check the scholarships to see whether you are eligible to apply. Many scholarships are either merit-based or needs-based.

Our partners

Financial Analysis and Quantitative Risk Management
-
Temple University

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