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MBA in Financial Markets at GITAM (Gandhi Institute of Technology and Management)

GITAM, Visakhapatnam, a premier Deemed to be University established in 1980 in Rushikonda, holds a NAAC 'A++' grade. Offering diverse UG, PG, and doctoral programs in engineering, management, and sciences, it is recognized for academic strength, a 15:1 student-faculty ratio, and robust placements.

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Visakhapatnam, Andhra Pradesh

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About the Specialization

What is Financial Markets at GITAM (Gandhi Institute of Technology and Management) Visakhapatnam?

This Financial Markets program at Gandhi Institute of Technology and Management focuses on equipping students with a profound understanding of global and Indian financial ecosystems. It delves into capital markets, derivatives, investment strategies, and fintech innovations crucial for the dynamic financial services sector. The program emphasizes practical application and industry-relevant skills to foster competent financial professionals.

Who Should Apply?

This program is ideal for fresh graduates aspiring for careers in investment banking, portfolio management, or financial analysis. It also suits working professionals seeking to specialize in financial markets or transition into roles requiring advanced financial acumen. Individuals with a strong quantitative aptitude and keen interest in market dynamics are particularly well-suited to excel in this rigorous curriculum.

Why Choose This Course?

Graduates of this program can expect diverse career paths in India, including equity research analyst, fund manager, risk manager, or investment advisor. Entry-level salaries range from INR 4-7 LPA, with significant growth potential to 15-25 LPA for experienced professionals. The curriculum aligns with professional certifications like NISM, CFA, and FRM, significantly enhancing career prospects and industry recognition for graduates.

Student Success Practices

Foundation Stage

Build Strong Quantitative Foundations- (Semester 1-2)

Focus intensely on foundational subjects like Business Statistics, Managerial Economics, and Accounting for Managers. Master concepts of data analysis, financial statements, and economic principles, which are critical for advanced finance topics. Utilize online platforms for supplemental learning and practice problem-solving rigorously.

Tools & Resources

MS Excel, Tally, Khan Academy, NPTEL courses

Career Connection

Essential for understanding financial models, interpreting market data, and performing basic financial analysis, which are core requirements for most entry-level finance roles.

Develop Professional Communication Skills- (Semester 1-2)

Actively participate in Business Communication classes, engage in group discussions, and regularly practice presentation skills. Join campus clubs or external forums like Toastmasters for public speaking enhancement. Cultivate a habit of reading business newspapers like The Economic Times daily to stay informed and articulate.

Tools & Resources

Toastmasters International, The Economic Times, Mint, LinkedIn Learning

Career Connection

Crucial for effective client interactions, collaborative teamwork, and articulate report writing, which are vital for career progression in the financial services sector.

Initiate Financial Market Familiarization- (Semester 1-2)

Begin exploring financial news, tracking market trends, and understanding basic investment concepts. Consider opening a demat account (under guidance) and engage in virtual stock trading platforms to gain hands-on experience and grasp market mechanisms early on. This builds practical intuition beyond textbooks.

Tools & Resources

Moneycontrol, NSE India website, Investopedia, StockGro (virtual trading app)

Career Connection

Cultivates early interest and foundational market knowledge, which is highly beneficial for informed subject selection, internship applications, and interviews for financial market roles.

Intermediate Stage

Engage in Specialization-Specific Certifications- (Semester 3)

Actively pursue relevant NISM certifications (e.g., Equity Derivatives, Mutual Funds, Investment Advisory) alongside your academic coursework. These certifications provide industry-recognized knowledge, validate your skills, and significantly enhance your resume value for specialized financial market roles in India.

Tools & Resources

NISM Certifications, NCFM Modules, FinTree, EduPristine

Career Connection

Directly aligns with job requirements for roles like equity dealer, investment advisor, and research analyst, demonstrating a proactive approach to professional development.

Undertake Meaningful Industry Internships- (During and after Semester 2, into Semester 3)

Proactively seek and complete a summer internship, typically between Semesters 2 and 3, or during Semester 3. Focus on securing roles at brokerage houses, wealth management firms, or investment banks to gain practical exposure in areas such as equity research, portfolio analysis, or risk management.

Tools & Resources

LinkedIn, Internshala, College Placement Cell, Alumni Network

Career Connection

Provides invaluable real-world experience, helps build a professional network, and is often a direct pathway to securing pre-placement offers (PPOs) from reputable firms.

Master Advanced Financial Tools & Software- (Semester 3)

Develop proficiency in advanced Excel for robust financial modeling and valuation tasks. Learn basic statistical programming using R or Python, leveraging libraries like Pandas and NumPy for financial data analysis, visualization, and algorithmic trading concepts. This technical expertise is highly valued.

Tools & Resources

MS Excel (advanced functions, VBA basics), Python (Jupyter Notebook, Pandas, NumPy), RStudio

Career Connection

Highly sought-after technical skills for roles in quantitative finance, risk management, and advanced financial analysis, showcasing a strong analytical and technical aptitude.

Advanced Stage

Excel in Final Project Work/Dissertation- (Semester 4)

Select a relevant and challenging topic for your final project or dissertation in financial markets. Conduct rigorous research, apply theoretical knowledge from specialized subjects, and utilize analytical tools to present a comprehensive study. Seek continuous mentorship from faculty throughout this significant academic undertaking.

Tools & Resources

Research databases (Capitaline, Prowess), Statistical software (SPSS, EViews), Academic journals

Career Connection

Demonstrates independent research capability, problem-solving skills, and a deep, specialized understanding of a particular financial domain, which is crucial for higher-level and analytical roles.

Intensive Placement Preparation and Networking- (Semester 4)

Actively participate in campus placement drives, mock interviews, and group discussions organized by the college. Refine your resume and cover letter, meticulously highlighting your specialization-specific skills and internship experiences. Network extensively with alumni and industry professionals through workshops and seminars.

Tools & Resources

Placement Cell resources, Online interview platforms (e.g., Pramp), LinkedIn, Alumni events

Career Connection

Maximizes your chances of securing desirable placements in top financial firms and ensures a strong, accelerated entry into your chosen financial market specialization.

Continuous Learning and Industry Trends Awareness- (Semester 4 and beyond)

Cultivate a habit of continuous learning by staying updated with the latest trends in financial markets, especially in emerging areas like Fintech, AI in finance, and evolving regulatory changes. Read leading financial publications, follow industry thought leaders, and consider enrolling in relevant MOOCs to broaden your knowledge base beyond the curriculum.

Tools & Resources

Financial Times, Wall Street Journal, CFA Institute publications, Coursera, edX, Professional webinars

Career Connection

Ensures long-term career growth, adaptability to rapidly changing market dynamics, and positions you as a forward-thinking and knowledgeable professional in the dynamic financial industry.

Program Structure and Curriculum

Eligibility:

  • Bachelor''''s degree with minimum 50% marks (45% for SC/ST) from any recognized university. Valid score in GAT (PG), CAT, MAT, XAT, GMAT, CMAT, NMAT.

Duration: 2 years (4 semesters)

Credits: 100 Credits

Assessment: Internal: 40%, External: 60%

Semester-wise Curriculum Table

Semester 1

Subject CodeSubject NameSubject TypeCreditsKey Topics
23MBB101Management Process and Organisational BehaviourCore3Introduction to Management, Planning & Decision Making, Organizing, Leadership & Motivation, Organizational Structure & Culture, Change Management
23MBB102Managerial EconomicsCore3Demand Analysis, Production & Cost Analysis, Market Structures, Pricing Strategies, Macroeconomic Concepts, Business Cycles
23MBB103Business StatisticsCore3Data Collection & Presentation, Measures of Central Tendency & Dispersion, Probability & Distributions, Sampling & Estimation, Hypothesis Testing, Correlation & Regression
23MBB104Accounting for ManagersCore3Financial Accounting Fundamentals, Recording Business Transactions, Financial Statements Analysis, Cost Accounting, Budgetary Control, Management Control Systems
23MBB105Business Environment and EthicsCore3Economic Environment, Political & Legal Environment, Socio-Cultural Environment, Technological Environment, Business Ethics, Corporate Governance
23MBB106Marketing ManagementCore3Marketing Concepts & Mix, Market Segmentation & Targeting, Product Life Cycle & Development, Pricing Decisions, Promotion & Advertising, Distribution Channels
23MBB107Business CommunicationCore2Communication Process, Oral & Written Communication, Business Correspondence, Presentation Skills, Group Discussions, Intercultural Communication

Semester 2

Subject CodeSubject NameSubject TypeCreditsKey Topics
23MBB111Financial ManagementCore3Financial Goals & Objectives, Capital Budgeting Decisions, Working Capital Management, Cost of Capital, Capital Structure Theories, Dividend Policy
23MBB112Human Resource ManagementCore3HR Planning & Job Analysis, Recruitment & Selection, Training & Development, Performance Management, Compensation Management, Industrial Relations
23MBB113Operations ResearchCore3Linear Programming, Transportation & Assignment Problems, Queuing Theory, Decision Theory, PERT/CPM, Simulation
23MBB114Operations ManagementCore3Production Planning & Control, Inventory Management, Quality Management, Supply Chain Management, Lean Operations, Project Management
23MBB115Research MethodologyCore3Research Design, Data Collection Methods, Sampling Design, Data Analysis Techniques, Report Writing, Ethical Issues in Research
23MBB116Information Systems for ManagementCore3MIS Fundamentals, Database Management Systems, Enterprise Resource Planning (ERP), E-commerce & Digital Business, Cloud Computing, Data Security & Privacy
23MBB117Entrepreneurship DevelopmentCore2Entrepreneurial Process, Business Plan Development, Startup Ecosystem, Funding Options, Legal Aspects for Startups, Innovation & Creativity

Semester 3

Subject CodeSubject NameSubject TypeCreditsKey Topics
23MBB201Strategic ManagementCore3Strategic Analysis, Vision & Mission Formulation, Environmental Scanning, Strategy Formulation & Choice, Strategy Implementation, Strategic Control & Evaluation
23MBB202Business AnalyticsCore3Data Visualization, Descriptive Analytics, Predictive Modeling, Prescriptive Analytics, Big Data Concepts, Decision Support Systems
23MBF201Investment ManagementElective3Investment Process & Environment, Risk & Return Analysis, Portfolio Theory & Diversification, Equity Valuation Models, Fixed Income Securities, Introduction to Derivatives
23MBF202Financial DerivativesElective3Futures Contracts, Options Contracts, Swaps & Other Derivatives, Hedging Strategies, Option Pricing Models, Derivative Market Regulations
23MBF203International Financial ManagementElective3Forex Market & Operations, Exchange Rate Theories, Currency Risk Management, International Capital Budgeting, International Working Capital Management, Balance of Payments & Global Finance
23MBF204Corporate Valuation and RestructuringElective3Valuation Models (DCF, Relative), Cost of Capital for Valuation, Mergers & Acquisitions, Divestitures & Spin-offs, Corporate Restructuring Strategies, Value Creation & Corporate Governance
23MBP281Internship ProjectProject3Problem Identification, Literature Review, Methodology Design, Data Collection & Analysis, Report Writing, Project Presentation

Semester 4

Subject CodeSubject NameSubject TypeCreditsKey Topics
23MBF211Portfolio Management and Wealth ManagementElective3Portfolio Construction, Performance Evaluation, Investment Philosophies, Mutual Funds & Hedge Funds, Financial Planning Process, Wealth Management Strategies
23MBF212Financial Risk ManagementElective3Market Risk Management, Credit Risk Management, Operational Risk Management, Risk Measurement Techniques (VaR), Basel Accords, Enterprise Risk Management
23MBF213Fintech and Digital FinanceElective3Blockchain & Cryptocurrencies, AI & Machine Learning in Finance, Digital Payments & Lending, Robo-Advisory, Crowdfunding, Cybersecurity in Finance
23MBF214Behavioural FinanceElective3Cognitive Biases & Heuristics, Prospect Theory, Market Anomalies, Investor Psychology, Herding Behavior, Emotional Investing
23MBP291Project Work / DissertationProject6Research Proposal Development, Extensive Literature Review, Advanced Data Collection, Statistical Analysis & Interpretation, Conclusion & Recommendations, Executive Summary & Viva Voce
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