the jain institute of technology offers a two-year full-time mba in finance program. this program is designed to provide students with a comprehensive understanding of the principles and practices of finance, and to equip them with the skills and knowledge necessary to become successful finance professionals. the program covers topics such as financial management, corporate finance, financial markets, investment analysis, portfolio management, and risk management. it also provides students with the opportunity to gain practical experience through internships and projects. the program also offers a wide range of electives, allowing students to customize their curriculum to their individual interests and career goals.
Course Duration | Course Level | Course Fee | Mode of Study | Institute Type |
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2 Years | Post Graduate | INR 2.5 Lakhs | Full Time | Private |
Semester | Subjects/Topics |
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1st Semester | Financial Accounting, Managerial Economics, Business Law, Business Communication, Quantitative Techniques, Organizational Behavior, Financial Management, Marketing Management |
2nd Semester | Cost Accounting, Human Resource Management, Business Research Methods, Strategic Management, International Business, Investment Analysis & Portfolio Management, Management Information System, Security Analysis & Portfolio Management |
3rd Semester | Corporate Taxation, Banking & Insurance, Derivatives & Risk Management, Corporate Restructuring & Mergers & Acquisitions, Project Finance & Management, International Financial Management, Financial Services & Markets, Financial Modeling & Valuation |
4th Semester | Corporate Governance, Entrepreneurship & Venture Capital, Advanced Financial Management, Advanced Security Analysis & Portfolio Management, International Taxation, Financial Derivatives, Financial Statement Analysis, Business Ethics & Corporate Social Responsibility |
topic | description
financial management | understanding the fundamentals of financial management and its importance in the business world.
financial analysis | learning to analyze financial statements and use the data to make informed decisions.
investment analysis | understanding the principles of investment analysis and how to evaluate different investment opportunities.
risk management | learning to identify, measure, and manage financial risks.
portfolio management | understanding the principles of portfolio management and how to create and manage a portfolio.
corporate finance | understanding the principles of corporate finance and how to make decisions related to capital structure, dividend policy, and mergers and acquisitions.
international finance | learning about the principles of international finance and how to manage foreign exchange risk.
derivatives | understanding the principles of derivatives and how to use them to manage risk.
financial modeling | learning to use financial models to analyze and forecast financial performance.
financial markets | understanding the principles of financial markets and how to trade in them.