H a l t o n A c a d e m y

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Halton Academy For Management and Technology Private Limited,
39/2475-B1 LR Towers, South Janatha Road, Palarivattom, Ernakulam, Kerala - 682025, India.

+91-7511-1890-01

4 Francis Street, le2 2bd, England,
United Kingdom.

hello@haltonacademy.com

MSc in Finance

Semester-wise Syllabus for an MSc in Finance

 

Semester 1: Foundations of Finance & Quantitative Methods

  1. Financial Accounting & Analysis

    • GAAP/IFRS standards, balance sheets, cash flow statements

    • Ratio analysis, DuPont analysis

  2. Corporate Finance

    • Capital budgeting (NPV, IRR), cost of capital (WACC)

    • Dividend policy, capital structure (Modigliani-Miller theorem)

  3. Quantitative Methods for Finance

    • Probability, descriptive statistics, hypothesis testing

    • Time value of money, Excel/Python for financial modeling

  4. Microeconomics for Financial Markets

    • Demand-supply in capital markets, elasticity, game theory

  5. Financial Markets & Institutions

    • Role of central banks, commercial banks, stock exchanges

    • Money markets, bond markets, and regulatory frameworks (SEBI, SEC)


Semester 2: Advanced Financial Tools & Investment

  1. Investment Analysis & Portfolio Management

    • Modern Portfolio Theory (MPT), CAPM, APT

    • Asset allocation, Sharpe ratio, efficient frontier

  2. Derivatives & Risk Management

    • Futures, options (Black-Scholes), swaps

    • Hedging strategies (delta, gamma), Value-at-Risk (VaR)

  3. Financial Econometrics

    • Regression models, time series analysis (ARIMA, GARCH)

    • Event studies, volatility clustering (using R/Stata)

  4. Macroeconomics for Finance

    • Monetary/fiscal policy impact on markets

    • Business cycles, inflation, and interest rate theories

  5. Ethics & Governance

    • Corporate scandals (Enron, Lehman Brothers), ESG investing


Semester 3: Specializations & Advanced Topics

  1. Fixed Income Securities

    • Yield curves, duration/convexity, credit risk models

  2. Mergers & Acquisitions (M&A)

    • Valuation methods (DCF, LBO), synergy analysis

    • Cross-border M&A challenges

  3. Electives (Choose 2–3)

    • Behavioral Finance: Cognitive biases, market anomalies

    • FinTech: Blockchain, algorithmic trading, robo-advisors

    • International Finance: Forex risk, parity conditions (PPP, IRP)

    • Private Equity & Venture Capital: Fund structuring, exit strategies

  4. Financial Statement Modeling

    • Advanced Excel/VBA, Bloomberg Terminal training

    • Scenario analysis, sensitivity tables


Semester 4: Applied Finance & Capstone

  1. Financial Regulation & Compliance

    • Basel Accords, Dodd-Frank, MiFID II

    • Anti-money laundering (AML) frameworks

  2. Wealth Management

    • Tax planning, estate management, client profiling

  3. Dissertation/Internship

    • Research project (e.g., crypto volatility, ESG performance)

    • Internship with banks/asset management firms

  4. Case Studies & Simulations

    • Trading room simulations (mock portfolios)

    • Harvard Business School case analyses