John Soss
Associate Professor, Finance
Phone: 215.204.8453
The financial analysis of evolving global market opportunities draws on the principles of economics, financial reporting, corporate finance, investments and quantitative methods. Effective enterprise risk management requires added expertise in complex derivative products and structured capital market transactions. This range of financial expertise drives the sales and trading, investment banking, equity research, credit analysis, quantitative research, asset management, valuation advisory services and corporate audit and risk management operations of today’s financial services industry. In the same way, the Fox MS in Financial Analysis and Quantitative Risk Management program develops a pinnacle breadth and depth of financial expertise. To fuel their career ambitions, students may complete the CFA® Level I, II & III and FRM Part I & II exams over the program’s 22-month timeframe.

Welcome to the exciting Master of Science in Financial Analysis and Quantitative Risk Management program at the Fox School of Business.

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