Masters of Science (Financial Markets)

Masters of Science (Financial Markets) MSc. In Financial Markets

Top MSc (Financial Markets) College in Mumbai - GSCC

The Master of Science (M.Sc.) in Financial Markets program is designed at the core of an intellectually enriching and professionally oriented postgraduate
learning journey. As an autonomous program, the curriculum is thoughtfully structured to move beyond conventional finance education and to respond
effectively to the evolving dynamics of global financial markets, investment environments, and regulatory frameworks.

The program offers an in-depth and advanced understanding of financial markets, instruments, and practices, with a strong focus on equity and debt markets,
derivatives, portfolio management, risk analysis, financial modeling, and investment strategies. While strengthening conceptual clarity, the curriculum also
emphasizes analytical thinking, interpretation of market data, and application offinancial principles to complex and dynamic market situations.

  • Course Name: Masters of Science (Financial Markets)
  • Duration: 2 Years
  • Mode: Full-Time
  • Eligibility: Graduation with Arts, Science and Commerce with 50% marks and above.

Learn more about the GSCC admission process.

Semester I
Subject Type Credit
Financial Markets & Global Market Structure Mandatory 4
Derivatives & Structured Products Mandatory 4
Financial Statement Analysis Mandatory 4
Call & Money Markets Mandatory 2
Mutual Fund & Wealth Management Electives 4
Introduction To Financial System Electives 4
Research Methodology RM 4
Total 22
Semester II
Subject Type Credit
Bonds & Interest Rate Market Mandatory 4
Fixed Income Analysis & Strategies Mandatory 4
Technical Analysis Mandatory 4
Financial Analytics Mandatory 2
Risk Management Electives 4
Principles of Investment Electives 4
On the Job Training OJT 4
Total 22
Semester III
Subject Type Credit
Equity Trading Strategies & Valuation Mandatory 4
Quantitative Trading & Data Analytics Mandatory 4
Global Commodities & Currencies Market Mandatory 4
Application of Macro Economics Mandatory 2
NISM XV – Research Analyst RP 4
Operational Research Electives 4
Total 22
Semester IV
Subject Type Credit
Financial Planning Mandatory 4
Algo Trading & Market Psychology Mandatory 4
Live (Test) Market Trading & Simulation Mandatory 4
Forex Electives 4
Research Papers RP 6
Total 22

Eligibility : Graduation with Arts, Science and Commerce with 50% marks and above.

Available Seats : 60 (50% Reserved for Hindi -speaking linguistic minority).

Program Outcomes

  • After successful completion of the Master of Science in Financial Markets Program, the learner will be able to:
    • Demonstrate in-depth understanding of financial markets, instruments, derivatives, and global financial systems, along with regulatory frameworks and market dynamics.
    • Apply analytical, quantitative, and technological skills to evaluate financial data, interpret market trends, and make informed investment and strategic decisions.
    • Exhibit critical thinking, ethical judgment, and integrity in financial analysis, investment practices, and professional decision-making.
    • Develop research capabilities and apply financial knowledge to portfolio management, risk assessment, and investment planning while demonstrating professional skills, adaptability, and a commitment to lifelong learning.
Course Structure
Semester I
Subject Type Credit
Financial Markets & Global Market Structure Mandatory 4
Derivatives & Structured Products Mandatory 4
Financial Statement Analysis Mandatory 4
Call & Money Markets Mandatory 2
Mutual Fund & Wealth Management Electives 4
Introduction To Financial System Electives 4
Research Methodology RM 4
Total 22
Semester II
Subject Type Credit
Bonds & Interest Rate Market Mandatory 4
Fixed Income Analysis & Strategies Mandatory 4
Technical Analysis Mandatory 4
Financial Analytics Mandatory 2
Risk Management Electives 4
Principles of Investment Electives 4
On the Job Training OJT 4
Total 22
Semester III
Subject Type Credit
Equity Trading Strategies & Valuation Mandatory 4
Quantitative Trading & Data Analytics Mandatory 4
Global Commodities & Currencies Market Mandatory 4
Application of Macro Economics Mandatory 2
NISM XV – Research Analyst RP 4
Operational Research Electives 4
Total 22
Semester IV
Subject Type Credit
Financial Planning Mandatory 4
Algo Trading & Market Psychology Mandatory 4
Live (Test) Market Trading & Simulation Mandatory 4
Forex Electives 4
Research Papers RP 6
Total 22
Eligibility

Eligibility : Graduation with Arts, Science and Commerce with 50% marks and above.

Available Seats : 60 (50% Reserved for Hindi -speaking linguistic minority).

Programme Outcome

Program Outcomes

  • After successful completion of the Master of Science in Financial Markets Program, the learner will be able to:
    • Demonstrate in-depth understanding of financial markets, instruments, derivatives, and global financial systems, along with regulatory frameworks and market dynamics.
    • Apply analytical, quantitative, and technological skills to evaluate financial data, interpret market trends, and make informed investment and strategic decisions.
    • Exhibit critical thinking, ethical judgment, and integrity in financial analysis, investment practices, and professional decision-making.
    • Develop research capabilities and apply financial knowledge to portfolio management, risk assessment, and investment planning while demonstrating professional skills, adaptability, and a commitment to lifelong learning.