PGD in Global Financial Markets: Course, Admission, Syllabus, Scope, and Career options in 2024

In the ever-evolving field of finance, a new postgraduate degree is emerging – the Post Graduate Diploma in Global Financial Markets (PGDGFM). This program delivers students with the knowledge and skills necessary to trade and manage global financial markets effectively. This blog post will look at this exciting degree by exploring its course, admission criteria, syllabus, scope, and job opportunities in 2023. If you’re interested in getting an edge in this competitive field, you’ll want to read on to find out more!

What is PG In Global Financial Markets?

A PGD in Global Financial Markets is a postgraduate diploma that prepares students for a career in the financial markets. The course covers a range of topics, such as financial analysis, investment banking, and risk management. The admission requirements for a PGD in Global Financial Markets vary from institution to institution. However, most institutions require a bachelor’s degree with a minimum GPA of 3.0. 

The scope of a career in the financial markets is vast, and many options are available to graduates with a PGD in Global Financial Markets. The syllabus for a PGD in Global Financial Markets typically includes core courses such as macroeconomics, microeconomics, and finance. Electives allow students to specialize in their area of interest. Some popular career options include investment banking, financial analysis, and risk management.

PG In Global Financial Markets: Admission Process

Admission to the Postgraduate Diploma in Global Financial Markets (PGDFM) program is open to all graduates with a bachelor’s degree in any discipline from a recognized university, with a minimum of 50% marks in aggregate.

Candidates will be shortlisted for admission based on their performance in the qualifying examination. The selection process will include an entrance test, group discussion and interview.

The entrance test will be designed to assess the quantitative and analytical abilities of the candidates. The group discussion will be used to assess the communication and interpersonal skills of the candidates. The interview will be used to assess the motivation and commitment of the candidates toward the program.

Candidates who are successfully admitted to the program will be required to complete a total of 60 credits, consisting of 36 credits of coursework and 24 credits of dissertation.

PGD in Global Financial Markets: Course Syllabus

1. Introduction to Financial Markets: This course will provide an overview of the financial markets, focusing on their structure, participants, and the main products traded. The course will also cover the functions of central banks and international financial institutions.

2. Financial Instruments: This course will cover the main types of financial instruments traded in the global financial markets, including bonds, stocks, derivatives, and foreign exchange. The course will also cover the pricing of these instruments and the factors that influence prices.

3. Market Infrastructure: This course will explore the infrastructure that supports the global financial markets, including exchanges, clearinghouses, and settlement systems. The course will also cover market microstructure, including trading platforms and market makers.

4. Regulation of Financial Markets: This course will examine the regulatory framework for the global financial markets, including banking regulation, securities regulation, and derivatives regulation. The course will also cover recent developments in financial market regulation, such as Basel III and the Dodd-Frank Act.

5. Global Macroeconomics: This course will provide an overview of macroeconomic principles with a focus on their application to the global economy. The course will also cover topics like fiscal policy, monetary policy, and exchange rate determination.

6. Financial econometrics: This course introduces students to basic concepts in econometrics with a focus on their application to finance. The course covers regression, time series, and panel data analysis topics.

PGD in Global Financial Markets: Career Scope

The postgraduate diploma in Global Financial Markets is a course that imparts theoretical and practical knowledge about the functioning of various financial markets worldwide. The course curriculum provides insight into the various aspects of global finance, including investment banking, securities market, foreign exchange market, derivatives market, and risk management.

The course prepares students with the skills and knowledge required to become successful professionals in global finance. The diploma program allows students to build a career in various financial institutions such as banks, insurance companies, mutual funds, stockbroking firms, and other financial services companies.

After completing the diploma program, students can find employment opportunities in various positions, such as investment bankers, financial analysts, portfolio managers, research analysts, and traders in financial markets.

Conclusion

In conclusion, PGD in Global Financial Markets has the potential to be a rewarding career choice for those interested. With a wide range of job opportunities and an ever-growing global financial market, this qualification can open up many doors. Learning more about course requirements, syllabus, and admission processes are vital steps to take as you plan your journey into this field. 

If you’re interested in pursuing a career in finance, consider enrolling in BSE Institute‘s PGD in Global Financial Markets program. This program equips students with the necessary knowledge and skills to thrive in the dynamic world of finance.

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