B.Com in Financial Markets offers specialized knowledge of capital markets, financial instruments, and trading mechanisms. The curriculum covers financial modeling, investment strategies, regulatory frameworks, and portfolio management.
Students must have completed 10+2 from a recognized board with an interest in finance, economics, and market analysis. Strong quantitative skills are preferred.
Graduates can work as Equity Analysts, Risk Managers, Stock Brokers, or Market Researchers in stock exchanges, asset management companies, and financial consulting firms.