

B-COM in Finance Investment at CHRIST (Deemed to be University)


Bengaluru, Karnataka
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About the Specialization
What is Finance & Investment at CHRIST (Deemed to be University) Bengaluru?
This B.Com (Finance and Investment) program at CHRIST (Deemed to be University) focuses on developing expertise in financial markets, investment strategies, and corporate finance. It integrates theoretical knowledge with practical skills essential for India''''s rapidly expanding financial sector, preparing students for dynamic roles in investment banking, wealth management, and capital markets.
Who Should Apply?
This program is ideal for aspiring finance professionals, fresh graduates with a commerce background seeking to enter the investment domain, and individuals passionate about financial analysis and strategic wealth creation. It suits those aiming for careers in equity research, portfolio management, or financial advisory, providing a strong foundation for advanced financial certifications.
Why Choose This Course?
Graduates of this program can expect diverse India-specific career paths, including roles as financial analysts, investment bankers, wealth managers, and equity researchers. Entry-level salaries typically range from INR 4-7 lakhs per annum, with significant growth potential. The curriculum aligns with requirements for professional certifications like CFA and NISM.

Student Success Practices
Foundation Stage
Build Strong Accounting and Economic Fundamentals- (Semester 1-2)
Consistently revise core accounting principles and economic theories. Utilize textbooks, online tutorials, and practice problems from reputable Indian authors to solidify understanding. Form study groups to discuss complex topics and solve case studies.
Tools & Resources
NPTEL courses on Accounting/Economics, ICAI study materials, Financial Accounting by M.Y. Khan & P.K. Jain
Career Connection
A robust foundation is crucial for advanced finance subjects and passing initial rounds of competitive exams for entry-level finance roles in India.
Develop Quantitative Skills Early- (Semester 1-2)
Focus on mastering business mathematics and basic statistics. Practice problem-solving daily using Indian commerce textbooks. Learn to apply statistical tools like MS Excel for data analysis. Enroll in online courses for basic data manipulation.
Tools & Resources
Khan Academy, YouTube tutorials for Excel, Quantitative Methods for Business by N.D. Vohra
Career Connection
Essential for financial modeling, equity research, and analytical roles; employers in India highly value strong quantitative aptitude.
Enhance Communication and Soft Skills- (Semester 1-2)
Actively participate in class discussions and college events like debates or presentations. Join college clubs focused on public speaking or current affairs. Practice writing business reports and emails. Read Indian business newspapers daily to improve vocabulary and business awareness.
Tools & Resources
Toastmasters International (if available), Business English Certificate (BEC) preparatory materials, LinkedIn Learning courses, Economic Times, Business Standard
Career Connection
Strong communication is vital for client interactions, team collaboration, and interview success in India''''s service-oriented financial sector.
Intermediate Stage
Engage with Financial Markets Practically- (Semester 3-4)
Open a demat account (if permissible and guided) and follow real-time stock market movements. Use virtual trading platforms to experiment with investment strategies. Read financial news specifically from Indian markets and companies. Participate in stock market games or simulations.
Tools & Resources
NSE/BSE India websites, Moneycontrol.com, Zerodha Varsity, StockGro (virtual trading app)
Career Connection
Practical exposure provides invaluable insights, helps connect theory to reality, and gives a significant edge in interviews for investment-related roles.
Pursue NISM Certifications- (Semester 4-5)
Dedicate time to prepare for and acquire relevant National Institute of Securities Markets (NISM) certifications (e.g., Equity Derivatives, Mutual Funds). These certifications are industry-recognized in India and validate specialized knowledge.
Tools & Resources
NISM official study materials, Authorized NISM training partners, Online mock tests for NISM modules
Career Connection
NISM certifications are often a prerequisite or highly preferred for roles in brokerage, mutual funds, and investment advisory in India, significantly boosting employability.
Seek Meaningful Internships- (Semester 3-5 (during summer/winter breaks))
Actively search for internships in financial institutions, wealth management firms, or corporate finance departments during breaks. Focus on gaining hands-on experience in financial analysis, market research, or data processing. Network with professionals during these internships.
Tools & Resources
College placement cell, Internshala, LinkedIn, Company career pages of Indian banks/NBFCs
Career Connection
Internships are crucial for industry exposure, skill development, building professional networks, and often lead to pre-placement offers in India.
Advanced Stage
Master Financial Modeling and Valuation- (Semester 5-6)
Take advanced courses or workshops on financial modeling using Excel, focusing on valuation techniques (DCF, relative valuation) and scenario analysis. Practice building models for Indian companies based on their financial statements and industry data.
Tools & Resources
CFI (Corporate Finance Institute), Wall Street Prep, Specific workshops by financial training institutes in India
Career Connection
This is a core skill for investment banking, equity research, and private equity roles, highly sought after by Indian employers.
Develop a Strong Project Portfolio and Résumé- (Semester 5-6)
Focus on making your Project Work I & II outstanding. Document all case studies, simulations, and real-world projects undertaken. Tailor your resume to specific job roles, highlighting analytical skills and domain knowledge relevant to the Indian financial sector.
Tools & Resources
Career services at CHRIST, Professional resume builders, LinkedIn profile optimization guides, Canva for portfolio design
Career Connection
A well-crafted resume and portfolio showcasing practical experience are vital for attracting top employers during campus placements and off-campus recruitment drives.
Intensive Placement Preparation- (Semester 6)
Start rigorous preparation for placement drives, including aptitude tests, group discussions, and technical and HR interviews. Practice solving logical reasoning and quantitative questions, and stay updated on current affairs and financial news from India and globally. Mock interviews are essential.
Tools & Resources
Placement training modules, Online platforms like Aspiring Minds (AMCAT), CoCubes, Interview prep books for finance roles, Mock interview sessions
Career Connection
Dedicated preparation significantly increases the chances of securing desirable placements with leading financial services firms in India.
Program Structure and Curriculum
Eligibility:
- A pass in 10+2 with 50% marks (45% for Karnataka candidates) in Commerce stream from PUC/ISC/CBSE or equivalent board
Duration: 3 years (6 semesters)
Credits: 180 Credits
Assessment: Internal: 50%, External: 50%
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| COM131 | Financial Accounting - I | Core | 4 | Accounting Concepts, Accounting Cycle, Final Accounts, Partnership Accounts, Introduction to IFRS |
| COM132 | Business Organization and Management | Core | 4 | Business Forms, Management Principles, Planning & Organizing, Directing & Controlling, Ethics & CSR |
| COM133 | Business Economics - I | Core | 4 | Microeconomics, Demand & Supply, Consumer Behaviour, Production & Costs, Market Structures |
| COM134 | Principles of Marketing | Core | 4 | Marketing Concepts, Marketing Mix, Product & Pricing Strategies, Promotion & Distribution, Digital Marketing |
| LGC131 | English Language Skills | Compulsory Language | 2 | Grammar, Vocabulary, Reading Comprehension, Writing Skills, Oral Communication |
| LGC132 | Additional Language (Kannada/Hindi/French/German/Malayalam/Tamil/Telugu) | Compulsory Language | 2 | Basic Grammar, Conversational Skills, Reading Practice, Writing Practice, Cultural Context |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| COM231 | Financial Accounting - II | Core | 4 | Company Accounts, Share Capital, Debentures, Financial Statements, Cash Flow Statement |
| COM232 | Corporate Administration | Core | 4 | Company Formation, Board of Directors, Meetings, Company Secretary, Corporate Governance |
| COM233 | Business Economics - II | Core | 4 | Macroeconomics, National Income, Inflation & Deflation, Monetary & Fiscal Policy, International Trade |
| COM234 | Quantitative Methods for Business | Core | 4 | Statistics Fundamentals, Measures of Central Tendency, Probability, Correlation & Regression, Time Series |
| LGC231 | Professional English | Compulsory Language | 2 | Business Communication, Report Writing, Presentation Skills, Interview Skills, Professional Etiquette |
| LGC232 | Additional Language (Kannada/Hindi/French/German/Malayalam/Tamil/Telugu) | Compulsory Language | 2 | Advanced Grammar, Conversational Fluency, Literary Texts, Translation, Cultural Insights |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| COM331 | Corporate Accounting | Core | 4 | Amalgamation, Absorption, Internal Reconstruction, Valuation of Shares, Consolidated Financial Statements |
| COM332 | Cost Accounting | Core | 4 | Cost Concepts, Cost Sheet, Material Costing, Labour Costing, Overhead Costing |
| COM333 | Business Law | Core | 4 | Contract Law, Sale of Goods Act, Partnership Act, Company Law, Consumer Protection Act |
| COM341 | Indian Financial System | Specialization Core | 4 | Financial Markets, Financial Institutions, Money Market, Capital Market, Regulatory Bodies |
| COM342 | Investment Management | Specialization Core | 4 | Investment Avenues, Risk & Return, Portfolio Theory, Security Analysis, Equity Valuation |
| UHV331 | Universal Human Values | Ability Enhancement Compulsory Course (AECC) | 2 | Values & Ethics, Harmony in Self, Harmony in Family, Harmony in Society, Professional Ethics |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| COM431 | Advanced Corporate Accounting | Core | 4 | Banking Companies Accounts, Insurance Companies Accounts, Mutual Funds, LLP Accounts, Accounting Standards & Ind AS |
| COM432 | Management Accounting | Core | 4 | Marginal Costing, Budgetary Control, Standard Costing, Variance Analysis, Fund Flow Statement |
| COM433 | Income Tax | Core | 4 | Basic Concepts of Income Tax, Heads of Income, Deductions, Assessment of Individuals, TDS & TCS |
| COM441 | Financial Markets and Instruments | Specialization Core | 4 | Equity Market, Debt Market, Derivatives, Foreign Exchange Market, Commodities Market |
| COM442 | Financial Planning and Wealth Management | Specialization Core | 4 | Personal Financial Planning, Investment Planning, Retirement Planning, Estate Planning, Insurance Planning |
| SKF431 | Skill Enhancement Course (SEC) - I | Skill Enhancement Course (SEC) | 2 | Data Analysis with Spreadsheets, Financial Modeling Basics, Business Intelligence Tools, Digital Presentation Skills, Professional Etiquette |
Semester 5
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| COM531 | Goods and Services Tax | Core | 4 | GST Concepts, Levy & Collection of GST, Input Tax Credit, GST Procedures, Returns & Refunds |
| COM532 | Principles of Auditing | Core | 4 | Auditing Concepts, Types of Audit, Internal Control, Audit Procedures, Audit Report |
| COM541 | Corporate Finance | Specialization Core | 4 | Capital Budgeting, Cost of Capital, Capital Structure, Dividend Policy, Working Capital Management |
| COM542 | Financial Risk Management | Specialization Core | 4 | Risk Identification, Risk Measurement, Hedging Techniques, Derivatives for Risk Management, Credit Risk |
| COM543 | Fintech and Digital Finance | Specialization Core | 4 | Introduction to Fintech, Blockchain & DLT, AI & Machine Learning in Finance, Digital Payments & Lending, Robo-Advisors & Insurtech |
| PRJ541 | Project Work - I | Project | 2 | Research Methodology, Problem Identification, Data Collection Methods, Preliminary Analysis, Report Structuring |
Semester 6
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| COM631 | International Business | Core | 4 | Globalization, International Trade Theories, Foreign Exchange Markets, International Finance, WTO & Regional Blocs |
| COM641 | Ethics and Corporate Governance in Finance | Specialization Core | 4 | Ethical Theories in Finance, Principles of Corporate Governance, Insider Trading & Market Manipulation, Regulatory Framework for Ethics, Whistle-blowing & CSR |
| COM642 | Portfolio Management and Equity Research | Specialization Core | 4 | Portfolio Construction, Portfolio Performance Evaluation, Equity Valuation Models, Research Report Writing, Technical Analysis |
| ELC6XX 1 | Elective - I (Option 1: Investment Banking and Financial Services / Option 2: Alternative Investments) | Elective | 4 | Investment Banking Services, Mergers & Acquisitions, Private Equity & Venture Capital, Initial Public Offerings (IPO), Financial Advisory Services |
| ELC6XX 2 | Elective - II (Option 1: Derivatives and Financial Engineering / Option 2: Fixed Income Securities and Debt Markets) | Elective | 4 | Forwards and Futures, Options Contracts, Swaps and Exotic Derivatives, Hedging Strategies, Financial Engineering Applications |
| PRJ641 | Project Work - II | Project | 2 | Advanced Research Design, Data Analysis & Interpretation, Findings & Recommendations, Thesis Writing, Viva Voce Examination |




