PGDM:Financial MarketsITM Institute of Financial Markets
Price on request
- Post Graduate Diploma
- Navi mumbai
Designed in collaboration with industry experts from Exchanges, Financial Institutions, other market participants and such market leaders as NSE.it, Moneyline+Telerate and Spider Software, the program provides an intellectual framework for understanding how financial markets are structured, regulated, and interconnected in this country and around the world, and practical exposure to screen based trading operations.
The PGDM: Financial Markets Program is designed to enable the students to clear the NCFM capital Market Module, the Derivative Module, SII, UK Certification program and CFPCM Certification program offered by FPSB India.
PGDM: Financial Markets was launched in 2004 to fulfill the demand within the financial Markets for individuals having superior knowledge about Financial Markets than those coming out of the other regular Business schools. The Program will equip the students with a deep understanding of the markets.
It is important that the curriculum be kept Industry Relevant. We are keenly aware of our students desire to prepare for real careers in the Financial Markets. We understand, too, that employers coming to campus are looking to hire for real world business opportunities and needs. We keep abreast of changes in the financial marketplace and revise our program accordingly through interaction with the Industry Experts, feedback from our graduates, the lessons learned from our professors on their various consulting engagements, our many opportunities to exchange ideas with market practitioners through our periodic meetings with the Advisory Board, comprised of senior executives from the Industry.
* To develop a new stream of Financial Markets professionals having sound blending of concepts with Applications.
* To enable program participants to develop a framework for Fundamental & Technical Analysis-to evaluate alternative investment avenues and maximize returns with minimum risks.
* To give extensive exposure to emerging areas like Equity and Debt, Research, Scientific Asset Allocation Process, Portfolio Hedging & Forex trading.