Bachelor of Commerce (Investment Management)

Admission Guidelines :

A candidate for being eligible for admission to the B.Com. (I.M.) course must have passed the H.S.C. (XII Std.) examination of the Maharashtra State Board of Secondary & Higher Secondary Education or an examination recognized as equivalent thereto and secured not less than 45% marks in aggregate at (40% in case of reserve category) one and the same sitting.

Student from another University or Board of Secondary or Intermediate Education or any other Statutory examining body must read University O.111 as given in the admission guidelines of the college prospectus.

Such students should submit a migration certificate, statement of marks and passing certificate in original along with true photo copy of each of them within two months from the date of admission for final confirmation of their eligibility failing which their admission is liable to be cancelled.

Duration of the Course:

The course shall be a full time course. The duration of the course shall be six semesters spread over in 3 years. The Course shall consist of 38 modules of 100 marks each and an internship training report and one project of 100 marks each. Total 4000 marks


Awarding Authority:

University Of Mumbai.

 First Year:

1.1Basics of Investment& Wealth Creation 2.1 Introduction to Wealth Management
1.2Introduction to Accounting-I 2.2 Introduction to Accounting-II
1.3Introduction to Financial System 2.3 Introduction to Financial Markets
1.4Business Communication-I 2.4 Business Communication-II
1.5Foundation Course-I 2.5 Foundation course-II
1.6Business Economics-I 2.6 Introduction to Financial Intermediaries
1.7Quantitative Techniques 2.7 Investment Banking

Second Year

3.1 Cost & Management Accounting 4.1 Financial Management
3.2 Basics of Contract and Corporate Laws 4.2 Investment Laws
3.3 Study of Investment Strategists 4.3 Marketing of Investment Products
3.4 Taxation in Investment Management 4.4 Financial Statement Analysis-II
3.5 Investment Banking 4.5 Actuarial Analysis in Investment
3.6 Fundamental Analysis 4.6 Management of Investment Portfolio
3.7 Information Technology in Investment 4.7 Equity Research

Third Year

5.1 Operations in Equity Market 6.1 Operations in Currency and Commodity Markets
5.2 Fixed Income Analysis-1 6.2 Fixed Income Analysis-II
5.3 Credit Risk Management 6.3 Risk Management of Market and Operational Risk
5.4 Introduction to Derivatives 6.4 Valuation of derivatives
5.5 Alternative Investment 6.5 International Investment Management
5.6 Technical Analysis of Investments 6.6 Ethics in Investment Markets
5.7 Internship Training Report 6.7 Project