Online MBA in Investment Banking Equity Research Syllabus 2025: Subjects, Specializations, and Semester-wise Syllabus

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

Explore financial analysis, equity valuation, investment strategies. Study online, at your own pace. Gain expertise in financial markets and investment analysis.

Syllabus and Subjects of Online MBA in Investment Banking Equity Research

The syllabus for an online MBA in Investment Banking Equity Research is meticulously designed to equip students with in-depth knowledge of finance, investment strategies, and equity research techniques. Key topics covered include financial markets, portfolio management, valuation methods, and financial modeling. Students also learn to analyze and interpret financial statements, assess risk, and make informed investment decisions. This program often includes courses in asset management, derivatives, and investment banking operations. Graduates are well-prepared for careers in investment banking, equity research, asset management, and related fields.

Semester 1 Semester 2
Financial Accounting Managerial Accounting
Quantitative Methods for Business Corporate Finance
Managerial Economics Business Research Methods
Marketing Management Investment Analysis
Organizational Behavior Financial Markets and Institutions
Business Communication Skills Equity Valuation and Analysis
Derivatives and Risk Management
Semester 3 Semester 4
Strategic Management International Finance
Operations Management Mergers and Acquisitions
Ethics and Corporate Governance Portfolio Management
Entrepreneurship and Innovation Financial Modeling and Forecasting

Projects

 

(1). Equity Research Report: Conduct an in-depth analysis of a selected company, including financial statement analysis, industry research, valuation, and investment recommendations.

 

(2). Mergers and Acquisitions Case Study: Analyze a real or hypothetical merger or acquisition transaction, including financial due diligence, synergy assessment, and post-merger integration strategies.

 

(3). Portfolio Management Simulation: Create and manage a virtual investment portfolio, making investment decisions based on market trends, risk management, and performance evaluation.

 

(4). IPO Valuation and Preparation: Develop a comprehensive valuation model and prepare a financial prospectus for an initial public offering (IPO) of a selected company.

 

(5). Risk Management Strategy: Identify and analyze potential risks in an investment portfolio or financial institution, and propose risk mitigation strategies.

 

Reference Books

 

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

(2). "Equity Research and Valuation: A Quantitative Approach" by Anitha N and Bhavya Manchanda.

 

(3). "Security Analysis and Portfolio Management" by Donald E. Fischer and Ronald J. Jordan.

 

(4). "Financial Modeling and Valuation: A Practical Guide to Investment Banking and Private Equity" by Paul Pignataro.

 

(5). "The Intelligent Investor: The Definitive Book on Value Investing" by Benjamin Graham and Jason Zweig.

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