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.
