Master of Commerce (Financial Research and Technical Analysis) is a fulltime specialised program spreading over 4 semesters over 2 years. The program is focused towards helping students understand the areas of financial research and technical analysis for aligning financial products in line with clients’ financial objectives. The program not only aims at specializing a student in handholding clients through their investment journey and achieving their financial goals, but it also includes the learning in the domain of research report writing, designing and testing strategies along with theories of market dynamics. The program consists of 15 subjects, 1 midterm assisted internship and 1 research based project. On successful completion of master degree program a student can be employed in the field of wealth advisory outfits, assets management companies, broking, insurance, banking, advisory business and many more.
Under Choice Based Credit, Grading & Semester System Course Structure
(Implemented from Academic Year 2022 – 23)
No. of Courses | Semester I | Credits | No. of Courses | Semester II | Credits |
1 | Core Courses (CC) | 1 | Core Courses (CC) | ||
1 | Indian and Global Financial Economics | 6 | 1 | Quantitative Methods in Finance | 6 |
2 | Indian and Global Financial System | 6 | 2 | Alternative Investments | 6 |
3 | Regulatory Requirements and Ethics of Financial Markets | 6 | 3 | Behavioural Finance and Investors’ Psychology | 6 |
4 | Indian and Global Taxation on Investments | 6 | 4 | Introduction to Global Wealth Management and Financial Research and Technical Analysis | 6 |
Total Credits | 24 | Total Credits | 24 |