

MASTER-OF-BUSINESS-ADMINISTRATION in Finance at Guru Gobind Singh Indraprastha University


Delhi, Delhi
.png&w=1920&q=75)
About the Specialization
What is Finance at Guru Gobind Singh Indraprastha University Delhi?
This MBA Finance program at Guru Gobind Singh Indraprastha University focuses on equipping students with advanced financial concepts, analytical tools, and strategic decision-making skills crucial for the dynamic Indian financial sector. It delves into capital markets, corporate finance, and investment strategies, preparing professionals for leadership roles. The program''''s strength lies in its comprehensive coverage aligned with industry demands in India.
Who Should Apply?
This program is ideal for commerce or management graduates seeking entry into financial services, investment banking, or corporate finance roles. It also benefits working professionals looking to upskill in areas like financial analysis, wealth management, or fintech. Career changers with a strong quantitative aptitude and an interest in financial markets can also transition successfully.
Why Choose This Course?
Graduates of this program can expect robust career paths in India as financial analysts, portfolio managers, investment bankers, risk managers, or credit analysts. Entry-level salaries typically range from INR 4-8 LPA, growing significantly with experience. The program aligns with certifications like NISM and CFA, enhancing professional credibility in Indian financial institutions.

Student Success Practices
Foundation Stage
Master Core Financial Concepts- (Semester 1-2)
Develop a strong understanding of fundamental accounting, economics, and financial management principles taught in core MBA subjects. Actively participate in class discussions and solve case studies.
Tools & Resources
NCERT Economics/Accounts books for quick refreshers, Investopedia, Khan Academy, Livemint, Business Standard (financial news portals)
Career Connection
Essential for building a solid base for all advanced finance subjects and for clearing basic finance aptitude tests during placements.
Develop Quantitative and Analytical Skills- (Semester 1-2)
Focus on excelling in Business Statistics and Operations Research. Practice data analysis using spreadsheet software and statistical tools to build a strong analytical foundation.
Tools & Resources
Microsoft Excel, R/Python for basic data handling, online courses on Coursera/edX for statistics and analytics, GMAT/CAT quantitative aptitude practice books
Career Connection
Crucial for roles requiring data interpretation, financial modeling, and quantitative analysis in investment banking or risk management.
Engage in Peer Learning and Study Groups- (Semester 1-2)
Form study groups with peers to discuss complex topics, share insights, and prepare for exams. Collaborate on assignments and case studies to enhance understanding and develop teamwork.
Tools & Resources
University library resources, shared online collaboration tools, regular group meetings
Career Connection
Fosters communication skills, exposes you to diverse perspectives, and builds a strong professional network invaluable for future career growth and problem-solving.
Intermediate Stage
Pursue Specialization-Specific Certifications- (Semester 3)
Complement classroom learning by undertaking relevant industry certifications such as NISM (National Institute of Securities Markets) modules or preliminary CFA (Chartered Financial Analyst) levels.
Tools & Resources
NISM certification portals, CFA Institute website, financial newspapers and journals, industry reports
Career Connection
Demonstrates expertise and commitment to potential employers, significantly boosting employability for roles in Indian capital markets, asset management, and equity research.
Actively Seek and Maximize Summer Internship Experience- (After Semester 2, report submission in Semester 3)
Secure a relevant summer internship (after Semester 2, evaluated in S3) in a financial firm (e.g., bank, AMC, brokerage). Apply theoretical knowledge to real-world scenarios, network with professionals, and gain practical exposure.
Tools & Resources
University career services, LinkedIn, industry job portals (Naukri, Internshala), company websites for direct applications
Career Connection
Crucial for practical skill development, understanding industry dynamics, and often leads to pre-placement offers, significantly easing the final placement process in India.
Engage in Financial Modeling and Analysis Competitions- (Semester 3-4)
Participate in inter-college finance competitions, stock market games, and financial modeling challenges to apply analytical skills, test financial theories, and gain competitive exposure.
Tools & Resources
Online trading platforms for virtual portfolios, Excel for financial modeling, financial databases (Bloomberg Terminal access if available)
Career Connection
Builds a strong resume, sharpens decision-making under pressure, and provides tangible achievements to discuss during interviews for roles in investment analysis and portfolio management.
Advanced Stage
Undertake a Comprehensive Dissertation/Project- (Semester 4)
Choose a research topic aligned with your career aspirations within finance. Conduct in-depth research, apply advanced analytical tools, and present findings effectively.
Tools & Resources
Academic databases (JSTOR, EBSCO), statistical software (SPSS, R, Python), financial data sources (CMIE Prowess, Bloomberg)
Career Connection
Showcases independent research capabilities, problem-solving skills, and deep subject matter expertise, highly valued in roles requiring analytical and strategic thinking.
Network Strategically with Industry Professionals- (Semester 3-4)
Attend industry seminars, workshops, and alumni meetups. Connect with professionals on LinkedIn, conduct informational interviews, and seek mentorship.
Tools & Resources
LinkedIn, industry events calendars, university alumni network portals
Career Connection
Builds valuable connections that can open doors to placement opportunities, provide career guidance, and keep you updated on industry trends in India.
Prepare Rigorously for Placements and Interviews- (Semester 3-4 (leading up to placements))
Tailor your resume and cover letters for specific finance roles. Practice mock interviews focusing on behavioral, technical finance, and case study questions. Enhance communication skills for group discussions.
Tools & Resources
University placement cell, online interview preparation platforms, financial news for current affairs, company annual reports
Career Connection
Directly impacts placement success, enabling you to secure desirable roles in top-tier financial companies across various sectors in India.
Program Structure and Curriculum
Eligibility:
- Bachelor''''s Degree with minimum 50% marks in aggregate or equivalent qualification. Valid CAT/CMAT/GGSIPU CET score.
Duration: 2 years (4 Semesters)
Credits: 85 Credits
Assessment: Internal: 25% for Theory Courses, 40% for Practical Courses, 50% for Summer Training & Dissertation, External: 75% for Theory Courses, 60% for Practical Courses, 50% for Summer Training & Dissertation
Semester-wise Curriculum Table
Semester 1
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA 101 | Management Process and Organizational Behaviour | Core | 3 | Management Principles, Functions of Management, Organizational Behaviour Foundations, Personality and Perception, Motivation Theories, Leadership Styles, Group Dynamics |
| MBA 103 | Accounting for Management | Core | 3 | Financial Accounting Concepts, Accounting Cycle, Financial Statements, Cost Accounting Basics, Cost-Volume-Profit Analysis, Budgeting and Budgetary Control, Capital Expenditure Decisions |
| MBA 105 | Managerial Economics | Core | 3 | Economic Fundamentals, Demand and Supply Analysis, Theory of Production and Cost, Market Structures, Pricing Strategies, Macroeconomics Overview, Business Cycles and Policies |
| MBA 107 | Business Statistics | Core | 3 | Data Collection and Presentation, Measures of Central Tendency and Dispersion, Probability Theory, Probability Distributions, Sampling and Estimation, Hypothesis Testing, Correlation and Regression |
| MBA 109 | Business Communication | Core | 3 | Communication Process, Oral Communication, Written Communication, Non-verbal Communication, Presentation Skills, Business Reports and Letters, Cross-cultural Communication |
| MBA 111 | Business Law | Core | 3 | Indian Contract Act, Sale of Goods Act, Negotiable Instruments Act, Companies Act, Consumer Protection Act, Intellectual Property Rights, Cyber Law |
| MBA 113 | Information Systems for Management | Core | 3 | Foundations of Information Systems, Database Management Systems, Enterprise Resource Planning (ERP), E-Business and E-Commerce, Decision Support Systems, IT Strategy, Cybersecurity Basics |
| MBA 115 | Computer Applications in Management Lab | Practical | 1 | Spreadsheet Applications (Excel), Presentation Software (PowerPoint), Word Processing (MS Word), Data Analysis Tools, Business Problem Solving using Software |
Semester 2
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA 201 | Business Environment | Core | 3 | Economic Environment, Political and Legal Environment, Socio-cultural Environment, Technological Environment, Global Environment, Economic Reforms, Industrial Policy |
| MBA 203 | Human Resource Management | Core | 3 | HRM Functions, HR Planning, Recruitment and Selection, Training and Development, Performance Management, Compensation Management, Industrial Relations |
| MBA 205 | Financial Management | Core | 3 | Financial Goals, Time Value of Money, Capital Budgeting, Capital Structure, Cost of Capital, Working Capital Management, Dividend Policy |
| MBA 207 | Marketing Management | Core | 3 | Marketing Concepts, Marketing Environment, Consumer Behaviour, Market Segmentation, Product Life Cycle, Pricing Decisions, Promotion Mix, Distribution Channels |
| MBA 209 | Operations Management | Core | 3 | Operations Strategy, Facility Location and Layout, Production Planning and Control, Inventory Management, Quality Management, Supply Chain Management, Project Scheduling |
| MBA 211 | Research Methodology | Core | 3 | Research Process, Research Design, Data Collection Methods, Sampling Techniques, Measurement and Scaling, Questionnaire Design, Data Analysis and Interpretation |
| MBA 213 | Operations Research | Core | 3 | Linear Programming, Transportation Problems, Assignment Problems, Network Analysis (PERT/CPM), Queuing Theory, Decision Theory, Game Theory |
| MBA 215 | Research Methodology Lab | Practical | 1 | Statistical Software (SPSS/R/Python for data analysis), Data Entry and Cleaning, Hypothesis Testing using Software, Report Writing with Statistical Output |
Semester 3
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA 301 | Strategic Management | Core | 3 | Strategic Planning Process, Environmental Scanning, SWOT Analysis, Corporate Level Strategy, Business Level Strategy, Strategy Implementation, Strategic Control |
| MBA 303 | Corporate Governance, Ethics and CSR | Core | 3 | Corporate Governance Principles, Board of Directors, Shareholder Rights, Business Ethics, Ethical Decision Making, Corporate Social Responsibility, Sustainability Reporting |
| MBA 305 | Entrepreneurship and Venture Management | Core | 3 | Entrepreneurial Process, Opportunity Identification, Business Plan Development, Funding New Ventures, Legal Aspects of Entrepreneurship, Managing Growth, Intrapreneurship |
| MBA 300 | Summer Training Report & Viva Voce | Project/Internship | 2 | Practical Business Exposure, Report Writing on Industry Experience, Presentation of Findings, Viva Voce Examination |
| MBA FM 301 | Management of Financial Services | Elective (Finance) | 3 | Financial System Overview, Merchant Banking, Stock Broking, Mutual Funds, Credit Rating, Leasing and Hire Purchase, Factoring and Forfaiting |
| MBA FM 303 | International Financial Management | Elective (Finance) | 3 | Forex Market, Exchange Rate Theories, Currency Risk Management, International Capital Budgeting, International Working Capital Management, Balance of Payments, Cross-border Mergers and Acquisitions |
| MBA FM 305 | Security Analysis and Portfolio Management | Elective (Finance) | 3 | Investment Process, Financial Markets, Equity Valuation Models, Bond Valuation, Portfolio Theory (Markowitz Model), Capital Asset Pricing Model (CAPM), Performance Evaluation |
| MBA FM 307 | Corporate Restructuring | Elective (Finance) | 3 | Mergers and Acquisitions, Divestitures, Demergers, Leveraged Buyouts, Takeovers, Valuation in Restructuring, Legal and Regulatory Aspects |
| MBA FM 309 | Financial Derivatives | Elective (Finance) | 3 | Forwards, Futures Contracts, Options Contracts, Swaps, Pricing of Derivatives, Hedging Strategies, Speculation with Derivatives, Regulatory Aspects |
| MBA FM 311 | Project Management | Elective (Finance) | 3 | Project Life Cycle, Project Planning, Project Scheduling (CPM/PERT), Resource Allocation, Risk Management in Projects, Project Costing, Project Monitoring and Control |
| MBA FM 313 | Risk Management and Insurance | Elective (Finance) | 3 | Types of Risks, Risk Identification and Measurement, Risk Management Process, Insurance Fundamentals, Life and Non-Life Insurance, Derivatives for Risk Management |
| MBA FM 315 | Taxation and Financial Planning | Elective (Finance) | 3 | Income Tax Act, Corporate Tax Planning, Goods and Services Tax (GST), Personal Financial Planning, Investment Planning, Retirement Planning, Estate Planning |
| MBA FM 317 | Behavioural Finance | Elective (Finance) | 3 | Heuristics and Biases, Prospect Theory, Overconfidence, Herd Behaviour, Market Anomalies, Investor Psychology, Behavioural Aspects of Corporate Finance |
| MBA FM 319 | Financial Modelling | Elective (Finance) | 3 | Financial Model Building Principles, Spreadsheet Functions (Excel), Forecasting Techniques, Valuation Models (DCF, Relative), Sensitivity Analysis, Scenario Analysis, Monte Carlo Simulation |
Semester 4
| Subject Code | Subject Name | Subject Type | Credits | Key Topics |
|---|---|---|---|---|
| MBA FM 401 | Working Capital Management | Elective (Finance) | 3 | Cash Management, Receivables Management, Inventory Management, Short-Term Financing, Working Capital Policy, Operating Cycle, Working Capital Forecasting |
| MBA FM 403 | Investment Banking | Elective (Finance) | 3 | Role of Investment Banks, Initial Public Offerings (IPOs), Debt Offerings, Mergers and Acquisitions (M&A) Advisory, Private Equity, Venture Capital, Due Diligence |
| MBA FM 405 | Financial Market Operations | Elective (Finance) | 3 | Money Market, Capital Market, Debt Market, Equity Market, SEBI Regulations, Stock Exchange Operations, Clearing and Settlement, Depository Services |
| MBA FM 407 | Fixed Income Securities | Elective (Finance) | 3 | Bond Characteristics, Yield Measures, Interest Rate Risk, Term Structure of Interest Rates, Bond Valuation, Government Securities, Corporate Bonds, Securitization |
| MBA FM 409 | Wealth Management | Elective (Finance) | 3 | Client Profiling, Financial Goals, Asset Allocation, Investment Products (Equities, Debt, Real Estate, Alternatives), Retirement Planning, Estate Planning, Tax Planning |
| MBA FM 411 | Equity Research and Valuation | Elective (Finance) | 3 | Financial Statement Analysis, Ratio Analysis, Industry Analysis, Economic Analysis, Discounted Cash Flow (DCF) Valuation, Relative Valuation, Equity Report Writing |
| MBA FM 413 | Financial Econometrics | Elective (Finance) | 3 | Regression Analysis (OLS), Time Series Models (ARIMA), Volatility Models (ARCH/GARCH), Panel Data, Event Studies, Statistical Software for Econometrics |
| MBA FM 415 | Fintech and Digital Finance | Elective (Finance) | 3 | Fintech Ecosystem, Blockchain and Cryptocurrencies, AI and Machine Learning in Finance, Robo-Advisory, Digital Payments, Peer-to-Peer Lending, Regulatory Sandboxes |
| MBA FM 417 | Strategic Financial Management | Elective (Finance) | 3 | Link between Strategy and Finance, Value-Based Management, EVA, MVA, Financial Strategy Formulation, Global Financial Strategy, Strategic Investment Decisions, Real Options |
| MBA 400 | Dissertation | Project | 6 | Research Problem Formulation, Literature Review, Data Collection and Analysis, Report Writing, Research Ethics, Viva Voce |




