Explore financial analysis, investment management, and risk assessment. Study online, at your own pace. Develop expertise in financial management strategies.
The syllabus for an Online MBA in Finance covers a range of financial topics, including financial management, investment analysis, risk assessment, and corporate finance. Students delve into subjects like financial modelling, international finance, and financial markets. The curriculum blends theory with practical applications, often using case studies and simulations. The online format allows learners to access resources and lectures at their convenience while engaging in virtual discussions and collaborative projects. Graduates are well-prepared for finance-related roles in various industries, from investment banking to corporate finance.
The syllabus for an Online MBA in Finance typically includes the following core and elective courses:
Semester | Subjects |
Semester 1 | Financial Accounting and Analysis |
Managerial Economics | |
Quantitative Methods for Business | |
Financial Management | |
Semester 2 | Investments and Portfolio Management |
Managerial Finance | |
Financial Markets and Institutions | |
Corporate Valuation and Restructuring | |
Semester 3 | Risk Management and Derivatives |
International Finance | |
Strategic Financial Management | |
Business Law and Ethics | |
Semester 4 | Financial Statement Analysis |
Corporate Finance and Governance | |
Mergers and Acquisitions | |
Research Methods in Finance | |
Electives | Financial Risk Management |
Investment Banking and Private Equity | |
Advanced Topics in Corporate Finance | |
Behavioral Finance |
(1). Financial Analysis of a Company
(2). Investment Portfolio Management
(3). Risk Assessment and Management in Financial Institutions
(4). Valuation of a Merger or Acquisition
(5). Financial Planning and Forecasting
(6). Cost-Benefit Analysis of a Business Decision
(7). Designing an Investment Strategy for a Client
(8). Financial Performance Evaluation of a Non-Profit Organization
(9). Evaluation of Capital Budgeting Projects
(10). Analysis of Financial Statements and Ratios
(1). "Principles of Corporate Finance" by Richard A. Brealey, Stewart C. Myers, and Franklin Allen
(2). "Investments" by Zvi Bodie, Alex Kane, and Alan J. Marcus
(3). "Options, Futures, and Other Derivatives" by John C. Hull
(4). "Financial Management: Principles and Applications" by Sheridan Titman and Arthur J. Keown
(5). "Security Analysis: Principles and Technique" by Benjamin Graham and David Dodd
(6). "The Theory of Corporate Finance" by Jean Tirole
(7). "Financial Markets and Institutions" by Frederic S. Mishkin and Stanley G. Eakins
(8). "Risk Management and Financial Institutions" by John C. Hull and Alan White
(9). "Financial Accounting: An International Approach" by Jagdish Kothari and Elisabetta Barone
(10). "International Financial Management" by Jeff Madura
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