MBA in Financial Markets Syllabus 2025: Subjects, Specializations, and Semester-wise Syllabus

  • course years 2 Years
  • type of course Post Graduate
  • course stream Management
  • course type Full Time
Written By universitykart team | Last Updated date Oct, 09, 2024

The MBA in Financial Markets program provides a comprehensive curriculum covering core business subjects with specialized courses in financial markets. Topics include investment analysis, portfolio management, financial derivatives, and risk management in financial markets.

Syllabus and Subjects of MBA in Financial Markets

The Master of Business Administration (MBA) program with a specialization in Financial Markets is an advanced and comprehensive postgraduate degree designed for individuals aspiring to excel in the world of finance, investments, and financial markets. This program is meticulously structured to provide students with a strong foundation in business administration while delving deeply into the specialized domain of financial markets.

MBA programs with a specialization in Financial Markets aim to equip students with the knowledge and skills required to thrive in areas such as investment analysis, portfolio management, risk assessment, and financial market operations. Graduates of this program emerge as professionals capable of navigating the complexities of financial markets, making informed investment decisions, and contributing to the growth of financial institutions and organizations.

Here is the table of subjects and syllabus for the MBA program with a specialization in Financial Markets:

Semester 1

Course Title Description
Introduction Overview of the program and its objectives in the context of financial markets.
Financial Management Fundamentals of financial management, including budgeting, investment, and risk assessment.
Financial Markets An introduction to financial markets, their structure, and the role they play in the economy.
Corporate Finance Principles of corporate finance, focusing on valuation, capital structure, and financial strategy.

Semester 2

Course Title Description
Investment Analysis Techniques and tools for analyzing investment opportunities and portfolio management.
Financial Derivatives Understanding financial derivatives, including options, futures, and swaps, and their uses in markets.
Risk Management Strategies for managing financial risks, including market risk, credit risk, and operational risk.
Financial Modeling Developing and using financial models for decision-making in financial markets.

Semester 3

Course Title Description
Fixed Income Securities In-depth study of fixed-income securities, including bonds, their valuation, and yield analysis.
Equity Analysis Analysis of equity securities, including stock valuation, fundamental analysis, and technical analysis.
Alternative Investments Exploration of alternative investments such as private equity, hedge funds, and real estate.
Financial Regulation Understanding financial regulations, compliance, and their impact on financial markets.

Semester 4

Course Title Description
Portfolio Management Portfolio construction, optimization, and risk management in the context of financial markets.
International Finance Examining international financial markets, exchange rates, and global investment strategies.
Behavioral Finance Study of human behaviour and psychology in financial decision-making and market anomalies.
Capstone Project Applying knowledge and skills to analyze and make informed financial market recommendations.

Semester 5

Course Title Description
Financial Technology (FinTech) Exploring the role of technology in financial markets, including blockchain and digital currencies.
Financial Ethics and Compliance Ethics and compliance considerations in financial markets.
Financial Market Trends Analysis of current trends, emerging technologies, and innovations in financial markets.
Research Methods in Finance Research methodologies for conducting financial market analysis and studies.

Semester 6

Course Title Description
Financial Market Regulations Detailed study of financial regulations, their enforcement, and their impact on market participants.
Financial Market Strategies Strategies for trading, investing, and risk management in financial markets.
Graduation Project Developing and presenting a comprehensive research project related to financial markets.
Conclusion and Graduation Summarizing the program and celebrating graduates' achievements in the field of financial markets.

This MBA in Financial Markets syllabus is designed to provide students with a deep understanding of financial markets, investment strategies, risk management, and the evolving landscape of financial technology. It equips students with the skills necessary to excel in careers related to finance and financial markets.

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