Financial Market

Overview

Studying Financial Market provides an in-depth understanding of the global financial system, investment strategies, and market dynamics. This program equips students with the knowledge and skills necessary to navigate the complex world of financial markets. Students learn about financial instruments, trading mechanisms, risk management, and market analysis. They develop proficiency in assessing market trends, making informed investment decisions, and understanding the factors influencing asset prices. Studying Financial Market prepares graduates for careers in investment firms, banks, stock exchanges, and financial institutions. They can pursue roles such as financial analyst, portfolio manager, risk manager, or market research analyst, contributing to the efficient functioning of financial markets and driving economic growth.

Objectives Of The Programme

  1. Understand the functioning of financial markets, including trading mechanisms, liquidity, and price discovery.
  2. Analyze market trends and factors affecting asset prices to make informed investment decisions.
  3. Develop knowledge of financial instruments and investment strategies for optimal portfolio management.
  4. Gain skills in risk management techniques to mitigate potential financial market risks.
  5. Acquire a comprehensive understanding of regulatory frameworks and ethical considerations in financial markets.

 Programme Outcomes

  1. Ability to analyze financial market trends and predict future market movements.
  2. Competence in utilizing investment strategies and managing portfolios to optimize returns.
  3. Proficiency in using financial tools and software for market analysis and investment decision-making.
  4. Understanding of risk management techniques to mitigate financial market risks and protect investments.
  5. Knowledge of financial regulations and compliance requirements in the context of financial markets.
  6. Skill in conducting comprehensive financial research and performing market evaluations.
  7. Ability to interpret and analyze financial statements and market data for informed decision-making.
  8. Competence in evaluating investment opportunities and assessing their potential risks and returns.
  9. Effective communication skills to present and discuss financial market insights with clients or colleagues.
  10. Preparedness for professional certifications and licensure in the field of financial markets and investments.

DEGREE

BCom

Overview

Studying B.Com (Bachelor of Commerce) in Financial Market provides students with a solid foundation in the principles and practices of financial markets. This program focuses on developing knowledge and skills related to investment analysis, portfolio management, risk assessment, and market dynamics. Students learn about financial instruments, trading mechanisms, and regulatory frameworks governing financial markets. They gain practical insights into analyzing market trends, making informed investment decisions, and managing portfolios effectively. B.Com in Financial Market prepares graduates for careers in investment firms, financial institutions, brokerage houses, and regulatory bodies. It equips them with the necessary expertise to thrive in the dynamic world of financial markets, contributing to the growth and stability of the global economy.

CAREER

Academic & Job Prospects in Financial Market

  1. Professor: Teach financial market courses at universities or colleges, sharing knowledge and expertise with aspiring finance professionals.
  2. Researcher: Conduct research in the field of financial markets, contributing to academic understanding and advancement in the discipline.
  3. Curriculum Developer: Develop and design academic programs and curricula in financial market studies for educational institutions.
  4. Department Chair: Oversee the finance department, manage faculty, and shape the academic direction of the financial market program.
  5. Academic Administrator: Work in administrative roles within educational institutions, overseeing programs and student services related to financial markets.
  6. Financial Analyst: Analyze financial data, market trends, and investment opportunities for corporations, investment firms, or banks.
  7. Portfolio Manager: Manage investment portfolios on behalf of individuals, institutions, or mutual funds, making strategic investment decisions.
  8. Risk Manager: Assess and manage financial risks for corporations or financial institutions, ensuring compliance with risk management strategies.
  9. Investment Banker: Provide advisory services on mergers and acquisitions, capital raising, and financial transactions for corporate clients.
  10. Securities Trader: Execute trades on behalf of clients or firms, buying and selling financial instruments in the financial markets. 

Some of the main industries offering employment opportunities after studying Financial Market are listed under:

  1. Investment Banks
  2. Asset Management Firms
  3. Commercial Banks
  4. Hedge Funds
  5. Insurance Companies
  6. Stock Exchanges
  7. Financial Advisory Firms
  8. Mutual Fund Companies
  9. Pension Funds
  10. Regulatory Agencies (e.g., Securities and Exchange Commission)
Skilled & Qualified

Faculty

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