BBA (Capital Market) Syllabus 2025: Subjects, Specializations, and Semester-wise Syllabus

  • course years 3 Years
  • type of course Under Graduate
  • course stream Management
  • course type Full Time
Written By universitykart team | Last Updated date Oct, 09, 2024

Explore financial markets, investment analysis, and portfolio management, preparing for roles in investment banking and asset management.

Syllabus of BBA in Capital Market

The syllabus for the Bachelor of Business Administration (BBA) in Capital Market program focuses on financial markets and investment strategies. Students often study financial instruments, investment analysis, and portfolio management. The curriculum typically includes courses on capital market regulations, financial derivatives, and risk management. Students also explore topics related to international finance and financial modeling. Additionally, ethical considerations and sustainability practices in capital markets may be integrated into the syllabus. Practical experiences such as investment analysis projects and market simulations are typically part of the program to help students gain hands-on experience in capital market operations. Graduates are well-prepared for careers in investment analysis, portfolio management, and financial planning within the capital market industry.

Semester Subjects
Sem 1 Principles of Management
Financial Accounting
Microeconomics
Business Mathematics and Statistics
Business Research Methods
Sem 2 Financial Management
Marketing Management
Human Resource Management
Legal Aspects of Business
Organizational Behavior
Sem 3 Indian Capital Market
Securities Analysis and Portfolio
Management
Derivatives and Risk Management
International Finance
Sem 4 Financial Statement Analysis
Corporate Finance
Investment Banking
Macroeconomics
Sem 5 Financial Markets and Institutions
Entrepreneurship Development
Cost and Management Accounting
Business Communication
Sem 6 Project Management
Business Ethics and Corporate
Governance
Business Strategy

Projects

 

BBA in Capital Market programs often includes project work as a part of the curriculum. These projects may involve:

 

(1). Case studies on real-world financial scenarios and analysis of investment opportunities.

(2). Developing investment portfolios and evaluating their performance.

(3). Research specific topics related to capital market trends, regulations, or financial instruments.

(4). Simulating trading scenarios to understand market dynamics and risk management.

(5). Creating business plans for start-ups or investment proposals for potential ventures.

 

Reference Books

 

Here are some recommended reference books for BBA in Capital Market:

 

(1). "Investments" by Zvi Bodie, Alex Kane, and Alan J. Marcus

(2). "Security Analysis: Principles and Techniques" by Benjamin Graham and David Dodd

(3). "Capital Markets: Institutions and Instruments" by Frank J. Fabozzi

(4). "Financial Markets and Institutions" by Frederic S. Mishkin and Stanley G. Eakins

(5). "Fundamentals of Financial Management" by Eugene F. Brigham and Joel F. Houston

(6). "Portfolio Construction, Management, and Protection" by Robert A. Strong

(7). "Investment Banking: Valuation, Leveraged Buyouts, and Mergers and Acquisitions" by Joshua Pearl and Joshua Rosenbaum

(8). "Options, Futures, and Other Derivatives" by John C. Hull

(9). "The Intelligent Investor" by Benjamin Graham

(10). "Corporate Finance: Theory and Practice" by Aswath Damodaran
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