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Temple University

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Pennsylvania

United States

Welcome to the Master of Science in Financial Analysis & Quantitative Risk Management at Temple University. This program is meticulously designed to equip students with the analytical and quantitative skills necessary to navigate the complex landscape of finance and risk management. With the increasing demand for financial professionals who can interpret data and make informed decisions, this program stands out for its comprehensive curriculum and real-world applicability. Over a duration of 22 months, students will embark on an extensive journey through various critical subjects that are pivotal in financial analysis and risk assessment.

The curriculum is thoughtfully structured to cover a wide range of topics, including financial modeling, quantitative methods, risk management strategies, and investment analysis. Core courses such as Financial Statistics, Investment Analysis, and Risk Management Strategies ensure that students gain a solid foundation in both theory and practice. Additionally, elective courses allow for specialization in areas like Derivatives Trading and Portfolio Management, thus catering to individual career aspirations. This blend of core and elective courses, coupled with rigorous analytical training, prepares graduates for the multifaceted challenges of modern finance.

The faculty at the Fox School of Business is comprised of seasoned professionals and leading scholars in finance, renowned for their research contributions and industry insights. Students benefit from a pedagogical approach that emphasizes experiential learning, case studies, and collaborative projects. Instructors often integrate their research findings into the curriculum, providing students with the latest trends and challenges in the field. This approach not only fosters an engaging learning environment but also encourages students to think critically and creatively, honing their problem-solving skills essential for successful careers in finance.

Furthermore, students have access to a wealth of research opportunities and resources, including state-of-the-art financial laboratories and databases. The program encourages students to engage in hands-on research projects that often lead to valuable insights and publications. Collaborative partnerships with industry leaders facilitate internships and networking opportunities, allowing students to gain real-world experience while pursuing their degrees. Temple University has established strong connections with prominent firms, which significantly enhances students' prospects for securing internships and job placements upon graduation.

Career outcomes for graduates of the Master of Science in Financial Analysis & Quantitative Risk Management are promising. Alumni have successfully transitioned into roles such as financial analysts, risk managers, and investment consultants in various sectors, including banking, investment firms, and corporate finance. The program’s emphasis on quantitative skills and analytical reasoning has been instrumental in preparing graduates for in-demand positions within the finance industry. Moreover, the school's robust career services provide ongoing support, helping students navigate the job market and connect with potential employers.

Alumni success stories further highlight the program's effectiveness. Many graduates have achieved remarkable milestones in their careers, often landing positions at prestigious firms such as Goldman Sachs, JP Morgan Chase, and Deloitte. Testimonies from alumni underscore the program's role in shaping their professional journeys and enhancing their abilities to tackle complex financial challenges. The networking events organized by Temple University also foster strong connections among students and alumni, creating a supportive community that extends well beyond graduation.

Unique features of the program include access to the Temple Finance Lab, a state-of-the-art facility equipped with Bloomberg terminals and other financial software that mimic real-world trading environments. This resource allows students to apply theoretical knowledge in a practical setting, enhancing their learning experience significantly. The program also incorporates guest lectures and workshops conducted by industry leaders, ensuring that students are well-versed in current market trends and practices.

To gain admission into the program, prospective students should hold a bachelor's degree from an accredited institution and demonstrate proficiency in English through standardized tests such as IELTS, TOEFL, or PTE. The minimum scores required for these tests are 7.5 for IELTS, 100 for TOEFL, and 72 for PTE. Additional application requirements include a completed application form, a non-refundable application fee of $60, and potential letters of recommendation. While GRE requirements are currently unknown, candidates are encouraged to present a strong academic record and relevant experience in finance or quantitative analysis.

Why Study Financial Analysis & Quantitative Risk Management at Temple University:

  • A comprehensive curriculum designed to equip students with essential analytical and quantitative skills in finance.
  • Experienced faculty who are industry leaders, providing real-world insights and mentorship opportunities.
  • Access to cutting-edge financial laboratories and research resources, enabling practical learning and application of theory.
  • Strong industry connections leading to valuable internship placements and excellent job outcomes.
  • A diverse student community that fosters global perspectives and collaborative learning experiences.

In conclusion, the Master of Science in Financial Analysis & Quantitative Risk Management at Temple University is an exceptional choice for aspiring finance professionals. The program’s robust curriculum, coupled with its strong faculty support and extensive industry connections, ensures graduates leave well-prepared to excel in their careers and contribute meaningfully to the field of finance.

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Duration

22 Months

Ranking

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#309

US World and News Report

Class Profile

Diversity

New York:

10%

Maryland:

5%

Others:

22%

Pennsylvania:

40%

New Jersey:

20%

Delaware:

2%

Eligibility Criteria

English Proficiency Tests

  • IELTS

    7.5

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  • PTE

    72

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  • TOEFL

    100

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Application Requirements

Here's everything you need to know to ensure a complete and competitive application—covering the key documents and criteria for a successful submission.

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Application Fee: 60

      Application Deadlines

      Fees and Funding

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      Tuition Fees

      $27,374 / year

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