MBA in Financial Analysis is a unique programme which enables you to work as an educated and trained professional in this exciting world of capital markets with all the relevant theoretical and practical knowledge. The economic liberalization has brought drastic changes in the corporate environment. Specialization has become the need of the hour. Globalized world economy, integrated markets and continuous product innovation has created an absolute need for research professionals having insightful knowledge of financial concepts. Understanding the gap between burgeoning demand and supply of 'adequately equipped' professionals, we have designed our program targeting following key areas:
- Depth of Knowledge is first pillar. Curriculum covers in great depth the specialized areas that analysts currently need to know about. The course will equip scholars with advanced knowledge of Equity Research and Debt Valuation, Derivative Strategies and Risk Management, Financial Statement Analysis, Alternate Investment Strategies and Corporate Finance.
- Application of Concepts is second pillar. The teaching methodology used, targets converting the rigorous academic experience during the program into rich practical knowledge by the end of program. Using techniques such as case studies, live projects, assignments, workshops, expert mentoring in specific career segment are employed.
- Global Recognition is third pillar. To gain the 'Global' acceptability for scholars of MBA (Financial Analysis) program we have benchmarked the course structure with CFA® Program offered by CFA® Institute, Virginia, USA. Influence of CFA® program on the course makes the academic curriculum dynamic and in line with global standards so that students may separately pursue CFA® (USA) as well
- The rich curriculum based on the international standards, following the renowned Harvard systems will aim at effectively blending the talent of industry professionals with the academic excellence and focus on the real life applications of theoretical concepts.
MBA in Financial Analysis is a unique combination of conceptual knowledge, practical training, skills development and simulations on softwares. Apart from classroom teaching, more emphasis will be on assignments, case studies, situation analysis, mock trading sessions, research projects and testing of the models using state of the art softwares. The main aim of the program is to create a stream of trained professionals who will become the torchbearers of the revolution in the space of Corporate Banking & Research.