Post Graduate Program In Global Financial Markets (PGPGFM) 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

This program covers topics such as financial derivatives, risk management, international finance, and capital markets. Students learn about the intricacies of global financial systems and market operations.

Syllabus of PGP in Global Financial Markets

The syllabus for the Post Graduate Program in Global Financial Markets (PGPGFM) provides a comprehensive understanding of global financial markets and their dynamics. Students explore topics related to financial instruments, risk management, investment analysis, and financial regulations. The curriculum often includes real-world case studies and practical exercises to help students apply their knowledge in the complex world of finance.

Post Graduate Program in Global Financial Markets Course Syllabus & Subjects

Semesters Subjects
Semester I Introduction to Financial Markets
Financial Accounting
Financial Markets & Economics
Quantitative Methods
Investment& Principles
Semester II Fixed Income Securities
Equity Markets
Derivative Instruments
Financial Statement &Analysis
Technical & Fundamental Analysis
Semester III International Finance
Alternative Investments
Risk Management and Regulation
Portfolio Management
Financial Market Ethics &Governance
Semester IV Algorithmic Trading
Financial Modeling and Valuation
Behavioral &Finance
Mergers &Acquisitions
Research Project &Presentation

Post Graduate Program in Global Financial Markets Course Projects

Let's look at some of the most creative Post Graduate Program In Global Financial Markets project ideas that are suitable for both experts and newcomers:

1. Examine how demonetization has affected the Indian economy.

2. Analyze the benefits and drawbacks of funding Indian companies.

3. For a cross-border merger or acquisition involving an Indian company and a foreign company, create a financial model.

4. For a global corporation with operations in India, draft a risk management plan.

5. Create an investment portfolio for a worldwide investor with exposure to India.

6. Examine the Indian financial services regulatory landscape.

7. Examine how exchange rate changes affect the Indian rupee.

8. Consider whether a new financial product or service is feasible and would be useful in the Indian market.

9. Report on India's future involvement in global finance.

Reference Books for a Post Graduate Program In Global Financial Markets Course

Post Graduate Program in Global Financial Markets books provide students with both a thorough general review of the subject matter and a close examination of their specific area of expertise. The following are some of the books for reference:

Name of Author Name of Book
John C. Hull Options, Futures, and Other Derivatives
Robert C. Merton Continuous-Time Finance
Lawrence J. Gitman Principles of Managerial Finance
Burton G. Malkiel A Random Walk Down Wall Street
Peter L. Bernstein Capital Ideas: The Improbable Origins of Modern Wall Street
Nassim Nicholas Taleb The Black Swan: The Impact of the Highly Improbable
Michael Lewis The Big Short: Inside the Doomsday Machine

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