M.Com in Investment Banking & Equity Research
Semester-wise Syllabus for M.Com in Investment Banking & Equity Research
Semester 1: Core Finance & Economics
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Financial Accounting & Reporting
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IFRS/Ind AS
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Financial Statement Analysis
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Accounting for Derivatives
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Security Analysis & Portfolio Management
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Risk-Return Tradeoff
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Fundamental vs. Technical Analysis
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Modern Portfolio Theory (MPT)
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Macroeconomics for Financial Markets
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Monetary & Fiscal Policies
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Economic Indicators (GDP, Inflation, Interest Rates)
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Quantitative Methods in Finance
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Statistical Tools (Regression, Time Series)
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Financial Modeling Basics (Excel)
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Corporate Finance
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Capital Structure, Cost of Capital
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Dividend Policy
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Semester 2: Advanced Investment Banking
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Investment Banking & Financial Services
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IPO, FPO, Private Placements
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M&A Process (Deal Structuring, Due Diligence)
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Leveraged Buyouts (LBOs)
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Equity Research & Valuation
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DCF, Relative Valuation (PE, EV/EBITDA)
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Sector-Specific Research (Banking, IT, FMCG)
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Derivatives & Risk Management
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Futures, Options, Swaps
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Hedging Strategies
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Fixed Income Securities
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Bond Valuation, Yield Curve
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Credit Ratings
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Financial Markets & Regulations
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SEBI, RBI Guidelines
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Insider Trading, Compliance
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Semester 3: Specialization & Practical Skills
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Mergers & Acquisitions (M&A)
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Deal Lifecycle (Pre-Deal to Post-Merger Integration)
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Cross-Border M&A
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Private Equity & Venture Capital
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Fund Structuring
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Startup Valuation
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Technical Analysis & Trading Strategies
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Candlestick Patterns, Moving Averages
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Algorithmic Trading Basics
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Elective (Choose 1)
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Behavioral Finance
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International Financial Markets
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Fintech in Capital Markets
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Internship/Project (Investment Banking Firm, Equity Research Desk)
Semester 4: Advanced Topics & Research
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Financial Modeling & Valuation (Hands-on)
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Excel & VBA for Finance
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Building DCF, LBO Models
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Wealth Management & Alternative Investments
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Hedge Funds, REITs, Commodities
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Corporate Restructuring & Distressed Assets
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Bankruptcy Code (IBC)
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Turnaround Strategies
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Dissertation/Thesis
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Original Research on Markets/IB Trends
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Certification Prep (Optional)
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CFA L1, NISM, or Bloomberg Market Concepts
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