The Post Graduate Programme in Finance (PGP-Finance) syllabus at Business School, Chennai is designed to provide overall knowledge to the students with a strong foundation. Post Graduate Programme in Finance (PGP-Finance) faculty at Business School specially focus on in-depth learning to relevant subjects. At first semester syllabus of Post Graduate Programme in Finance (PGP-Finance) at Business School, students learn the basics of programme. A strong foundation is very important for comprehensive learning. Post Graduate Programme in Finance (PGP-Finance) syllabus at Business School, Chennai maintains a balance between theoretical knowledge and practical knowledge.
Post Graduate Programme in Finance (PGP-Finance) first year students at Business School are introduced with core subjects. Then they are encouraged to explore other area for a broader perspective. Business School, Chennai also provides practical training sessions, workshops, projects, and case studies to enhance student skills. Post Graduate Programme in Finance (PGP-Finance) syllabus at Business School, Chennai is also frequently updated to give industry relevant training and knowledge to students. Business School strives to provide a nurturing environment where students can learn new skills. The hands-on training sessions at Business School enable Post Graduate Programme in Finance (PGP-Finance) students to apply knowledge and skills in a controlled environment and get required experience.
According to syllabus of Post Graduate Programme in Finance (PGP-Finance) progress, students learn advanced topics and complex concepts. The Post Graduate Programme in Finance (PGP-Finance) curriculum at Business School, Chennai mainly focuses on analytical and critical thinking. As the Post Graduate Programme in Finance (PGP-Finance) course unfolds, students develop several important skills that increases their employability. As per syllabus of Post Graduate Programme in Finance (PGP-Finance) at Business School also includes real-life projects and internship programs. It helps students critical thinking and gives them real-world experience.
Post Graduate Programme in Finance (PGP-Finance) curriculum at Business School includes group discussions, guest lectures, case studies, and skill development workshops to enhance the learning experience. The Post Graduate Programme in Finance (PGP-Finance) syllabus at Business School aims to create well-rounded professionals equipped with the necessary skills and knowledge to succeed in their chosen fields.
Additional curriculum at Business School
Note: Given below syllabus is based on the available web sources. Please verify with the Business School, Chennai for latest Post Graduate Programme in Finance (PGP-Finance) curriculum.
The syllabus for a Post Graduate Program (PGP) in Finance can vary depending on the institution and the specific program's focus. However, I can provide a general overview of the typical topics and subjects that may be covered in a PGP in Finance program:
Semester/Year | Subjects |
First | Financial Accounting and Analysis |
Corporate Finance | |
Investment Management | |
Financial Markets and Institutions | |
Quantitative Methods for Finance | |
Managerial Economics | |
Business Ethics and Corporate Governance | |
Financial Modeling and Valuation | |
Elective 1 (e.g., Derivatives, Risk Management) | |
Elective 2 (e.g., Mergers and Acquisitions) | |
Summer Internship or Project | |
Second | International Finance |
Financial Statement Analysis | |
Portfolio Management | |
Financial Risk Management | |
Behavioral Finance | |
Taxation and Financial Planning | |
Data Analytics in Finance | |
Elective 3 (e.g., Fixed Income Securities) | |
Elective 4 (e.g., Financial Regulation and Compliance) | |
Elective 5 (e.g., Real Estate Finance) | |
Summer Internship or Project | |
Third | Strategic Financial Management |
Financial Reporting and Analysis | |
Corporate Governance and Business Laws | |
Advanced Topics in Finance | |
Elective 6 (e.g., Private Equity) | |
Elective 7 (e.g., Corporate Restructuring) | |
Dissertation/Thesis or Elective 8 |
Projects
(1). Financial Statement Analysis: Analyzing and interpreting financial
statements of companies to assess their financial health and performance.
(2). Portfolio Management: Creating and managing investment portfolios
to achieve specific financial goals and risk tolerance levels.
(3). Mergers and Acquisitions (M&A) Analysis: Evaluating potential
mergers or acquisitions, conducting due diligence, and assessing their
financial impact.
(4). Risk Management: Developing risk management strategies to identify
and mitigate financial risks in various business scenarios.
(5). Financial Modeling: Building financial models to forecast financial
performance and aid in decision-making processes.
Reference Books
(1). "The Intelligent Investor" by Benjamin Graham - A classic
book on value investing and fundamental analysis.
(2). "Principles of Corporate Finance" by Richard A. Brealey,
Stewart C. Myers, and Franklin Allen - A comprehensive guide to corporate
finance principles and practices.
(3). "Security Analysis" by Benjamin Graham and David L. Dodd
- A seminal work on investment analysis and value investing.
(4). "Options, Futures, and Other Derivatives" by John C. Hull
- An essential reference for understanding derivatives and their applications.
(5). "Financial Modeling in Excel for Dummies" by Danielle
Stein Fairhurst - A practical guide to financial modeling using Microsoft
Excel.
(6). "The Theory of Investment Value" by John Burr Williams -
A foundational book on the concept of intrinsic value and investment valuation.
(7). "A Random Walk Down Wall Street" by Burton G. Malkiel -
An insightful book on the efficient market hypothesis and investment
strategies.
These projects and reference books provide valuable insights into
various aspects of finance, empowering students and professionals to excel in
the field and make informed financial decisions.
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