Finance and Investment MSc
Course overview
Qualification | Master's Degree |
Study mode | Full-time |
Duration | 1 year |
Intakes | September |
Tuition (Local students) | ₹ 1,270,875 |
Tuition (Foreign students) | ₹ 1,681,466 |
Admissions
Intakes
Fees
Tuition
- ₹ 1,270,875
- Local students
- ₹ 1,681,466
- Foreign students
Estimated cost as reported by the Institution.
Application
- Data not available
- Local students
- Data not available
- Foreign students
Student Visa
- Data not available
- Foreign students
Every effort has been made to ensure that information contained in this website is correct. Changes to any aspects of the programmes may be made from time to time due to unforeseeable circumstances beyond our control and the Institution and EasyUni reserve the right to make amendments to any information contained in this website without prior notice. The Institution and EasyUni accept no liability for any loss or damage arising from any use or misuse of or reliance on any information contained in this website.
Entry Requirements
Degree and/or experience:
- Normally a good honours degree or equivalent in a relevant subject is required. Work experience is useful but not essential. Applicants with non-standard entry qualifications may be considered. If you are unsure whether you meet the entry requirements then please contact us.
English Language Requirement:
- IELTS score of at least 6.5, with 6.0 in the written test and a minimum of 5.5 in the other elements.
Curriculum
- Corporate Finance
- Economics and Business Finance in Context
- Economics of Financial Markets
- Financial Market Practice
- Quantitative Techniques and Applications
Options include:
- Advanced Corporate Analysis
- Applied Econometrics and Financial Time Series Analysis
- Emerging Financial Markets
- Explorations in Economic Thought
- Financial Derivatives: Mathematical Applications
- Financial Engineering of Derivative Structured Products
- Financial Regulation: Economic Principles and Institutional Frameworks
- International Portfolio Management
- Interest Rate and Currency Risk Management
- Portfolio Modelling and Dealing