Master of Science in Financial & Quantitative Analysis Postgraduate Programme By Fox School of Business and Management |TopUniversities

Programme overview

Main Subject

Finance

Degree

MSc

Study Level

Masters

Study Mode

Online

Modern finance requires both strategic business acumen and mathematical precision. At Fox School of Business, our Financial & Quantitative Analysis MS delivers the complete toolkit—from M&A modeling and private equity analysis to stochastic calculus and volatility modeling. This comprehensive program prepares you to excel across the entire finance landscape, whether you're structuring complex deals or engineering sophisticated risk models. 

Today's finance leaders navigate between boardrooms and trading floors, applying behavioral insights to investment strategies while building machine learning algorithms for portfolio optimization. Our STEM-designated program uniquely combines the strategic depth of financial analysis with the mathematical rigor of quantitative finance, creating graduates who can bridge the gap between business strategy and mathematical modeling. 

About the Financial & Quantitative Analysis MS

  • 36-credit full-time program combining financial analysis and quantitative finance expertise
  • Advanced technical skills: Python, SQL, numerical methods, volatility modeling and AI applications
  • Professional Preparation: Both CFA and FRM exam modules (Levels I-III) with Kaplan prep materials
  • Hands-On Experience: Mock trading room simulation lab and portfolio challenges
  • Strategic location: Direct access to Northeast Corridor markets from Wall Street to Washington, D.C.
  • Career Support: Dedicated Center for Student Professional Development
  • Flexible Admission:GMAT/GRE Optional, Fall program start 

Programme overview

Main Subject

Finance

Degree

MSc

Study Level

Masters

Study Mode

Online

Modern finance requires both strategic business acumen and mathematical precision. At Fox School of Business, our Financial & Quantitative Analysis MS delivers the complete toolkit—from M&A modeling and private equity analysis to stochastic calculus and volatility modeling. This comprehensive program prepares you to excel across the entire finance landscape, whether you're structuring complex deals or engineering sophisticated risk models. 

Today's finance leaders navigate between boardrooms and trading floors, applying behavioral insights to investment strategies while building machine learning algorithms for portfolio optimization. Our STEM-designated program uniquely combines the strategic depth of financial analysis with the mathematical rigor of quantitative finance, creating graduates who can bridge the gap between business strategy and mathematical modeling. 

About the Financial & Quantitative Analysis MS

  • 36-credit full-time program combining financial analysis and quantitative finance expertise
  • Advanced technical skills: Python, SQL, numerical methods, volatility modeling and AI applications
  • Professional Preparation: Both CFA and FRM exam modules (Levels I-III) with Kaplan prep materials
  • Hands-On Experience: Mock trading room simulation lab and portfolio challenges
  • Strategic location: Direct access to Northeast Corridor markets from Wall Street to Washington, D.C.
  • Career Support: Dedicated Center for Student Professional Development
  • Flexible Admission:GMAT/GRE Optional, Fall program start 

Admission Requirements

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

22 Months
Aug

Scholarships

Selecting the right scholarship can be a daunting process. With countless options available, students often find themselves overwhelmed and confused. The decision can be especially stressful for those facing financial constraints or pursuing specific academic or career goals.

To help students navigate this challenging process, we recommend the following articles:

More programmes from the university

Postgrad Programmes 8795