Uncover what’s next for the Investment Banking online courses

Investment banking is one of the most sought-after disciplines among youths due to its enriching career opportunities. However, it is no secret that the COVID-19 pandemic has disrupted the investment banking sector heavily with time. This sector has promised a healthy comeback. Hence, this might be an excellent opportunity for individuals to enter the market with a proper investment banking certification that will allow them to prove their interest and credibility in the field. 

Experts believe that investment banking is in much better condition presently, as there are substantial reasons for it. A few of these reasons are: 

  • Emphasis on captive revenue streams 
  • Change to a sustainable and lower capital intensive execution business
  • A surge in the share of ‘captive’ business and others 

Banking Course Modules 

Keeping the trends in the market, investment banking courses online have aligned their curriculum with current market needs and included some of the key pointers, such as: 

  • Working capital
  • Income statements
  • Equity method investments
  • Cash flow statements
  • Accounting ratio
  • Capital structure 
  • Non-current assets 

However, individuals must remember that these modules might differ a bit from the actual coursework and they must check the curriculum properly before going for an investment banking course. In a broader way, these certifications might cover valuation, financial modeling, accounting, M & A, and LBO analysis. 

So, individuals can learn investment banking online, but before that, they must know a few details about this sector. As mentioned above, the investment banking sector has changed after the pandemic and there are a few trends that are shaping the concerned industry.  

3 Factors Shaping The Investment Banking Sector

The top trends that are shaping the investment banking sector are: 

 

  • Big data

 

The massive digital transformation has reshaped the architecture of investment banking. The data collected is a rich source to strategize for expanding new products, establishing new market strategies, and uncovering client interests.

Furthermore, with the help of data from the first and second parties, companies save an enormous amount of time wasted for data entry to keep the information updated. So, individuals intending to learn investment banking must also know about big data and its application. 

 

  •  Using the first-party data

 

Most relationship managers in investment banks have a pile of data to analyze to look at deals. For these, using first-party data is the primary resource and most investment banks started using this early.

However, keeping track of relationships and companies with the pile of data might be difficult. So, analyzing the first-party data can solve a bigger goal without much concern. Hence, using it correctly for analyzing calendars, social media relations and e-mail traffic can considerably enhance traffic. 

 

  • Using predictive analytics and AI 

 

Evaluating a pile of data manually can be challenging to execute for analysis. So, the advent of predictive analysis and AI has eased the understanding of information for faster and more accurate results. However, most leading investment banking courses online provide factual information and knowledge to succeed in this field. 

So, it is essential to understand that apart from the basic concepts through an investment banking certification course, it is also important to understand the modern approaches of this field. This will give an edge to a candidate to ace and master the field of investment banking. 

The best career path in 2022: Certifications for valuation and equity research

What is the role of valuation and equity research? Equity research provides correct information to the stock market. It is an analysis of the business stock, its industry, and stocks in similar groups to estimate earnings and valuation. This analysis is crucial for the accurate valuation of the stock as it prevents stock from being overvalued or undervalued.

At Imarticus, through the IIML course, we prepare future analysts who accurately analyze financial services and capital markets.

Financial Risk Management Course

Every operating business entity has to face risk, but if you know how to manage the risks, you can certainly stop the revenue leakage. Managing financial risk means managing the current and anticipated financial threats. It also helps formulate a good and planned strategy to incur profits and stop the losses.

The course in financial risk management at Imarticus enhances the horizon of financial markets. It helps understand the concept of financial risks and magnifies the knowledge about the working of various financial institutions and the stock market. It also helps to increase the credit and ability of financial risk managers to increase their earning potential. 

The managers trained to anticipate financial risk and evaluate the stock market suggest the best possible remedies to a business entity or a sole businessman to avoid potential risk and financial losses. At Imarticus, through the IIML course, we train you to identify the chances of risk exposure. We further teach you how to quantify the firm’s exposure to the possible financial risk.

An excellent financial risk manager needs to quantify the risk and plan the strategies accordingly through proper financial risk management techniques.

At Imarticus, we teach our students how to keep adequate insurance to keep the firm safe and maintain dual emergency funds. Diversification of investment is another critical tool for good financial risk management, and we teach the ways for multiple diverse investments.

Identifying the financial risk is essential but prioritizing the risk according to business problems is equally important. For learning this technique, you should know to differentiate between liquidity, market, credit, operational, and legal risks.

Structured Finance Training

The advanced management program in financial services and capital market through IIML at Imarticus is a way to specialize in financial management. The students will experience the stimulations and get exposure to numerous zenith projects. Imarticus is keen to produce successful financial risk managers, and for this, the institutions have designed a unique curriculum. The campus interview and selection highlight this financial risk management course.

The students will uncover different financial strategies essential to handling and preparing for financial risk. In this regard, they will learn how to measure financial risk and thereby control it. To be an expert in financial trouble, insight, and knowledge on every liability are essential.

Further, at Imarticus, we teach the importance of skills and their enhancement. Our course through IIML will assist in controlling and coordinating unnecessary business data. It will help develop a better understanding of performance management and profit sources.

Financial risk management is a daunting task, and this you can do only by taking the right decisions and regularizing your financial investment on a slow pace and a regular basis.

30+ acronyms and jargons you should learn with investment banking and capital markets course

If you’re looking to start your career in the capital markets, an IIM Calcutta Capital Markets Certification could be just what you need. This certification can give you the skills and knowledge you need to work in this exciting and rapidly-growing field.

In this blog post, we’ll provide an overview of the IIM Calcutta Capital Markets Certification program and explain why it might be a good fit for you. So if you’re thinking about making a career change or advancing your current career, read on!

The IIM Calcutta Capital Markets Certification is a great way to get ahead in your career. It also allows you to work in any country that recognizes the accreditation. 

What is the IIM Calcutta Capital Market Certification?

It is a one-year, full-time program designed to prepare students for careers in the capital markets. The course offers a comprehensive curriculum covering all aspects of the capital markets, from investment banking and asset management to securities regulation and market analysis.

The IIM Calcutta Capital Markets Certification is open to all Indian citizens with a bachelor’s degree with at least 50% marks. The IIM Calcutta Capital Markets Certification is a valuable credential for those seeking a career in the capital markets. The program is well-respected and highly competitive, and it offers students a comprehensive education in all aspects of the capital markets.  

What does life look like with an IIM Calcutta Capital Markets Certification?

The life of a student who has completed the IIM Calcutta Capital Markets Certification is very different from that of other students. The certification opens many doors for them, and they can now pursue a career in the capital markets.

The IIM Calcutta Capital Markets Certification is a valuable credential to help students stand out from the competition. The program is challenging and rigorous, but it also offers students a comprehensive education in all aspects of the capital markets. With the IIM Calcutta Capital Markets Certification, students have a valuable credential to help them succeed in their careers.

If you want to work in the financial markets, the IIM Calcutta Capital Markets Certification is the curriculum for you.

Discover IIM Calcutta investment banking and capital market certification with Imarticus Learning

Our Executive Program in Investment Banking and Capital Markets works with the acclaimed IIM Calcutta. This thorough one-year program will teach students the fundamentals and advanced concepts of global capital markets and investment banking. Students will also learn the fundamentals of mergers and acquisitions, debt and equity capital markets, portfolio management, sales and trading, and securities regulation.

Course Benefits For Learners:

  • This executive degree in investment management accelerates students’ learning by utilizing case studies and real-world examples from the current capital market. 
  • This IIM Calcutta executive program will assist students in achieving their objectives and establishing a strong career in the financial sector. 
  • The IIM Calcutta Investment banking certification is perfect for professionals looking to advance their careers in the financial industry.

IIM Calcutta Investment Banking and Capital Markets course is equipping future executives with career readiness competencies

Are you a CFA, CA, CWA, CS, or MBA desirous of a career in the intriguing world of investment banking? Or, a professional employed in the corporate finance/treasury departments of a corporate/bank, or an entrepreneur and manager in the field of financial services and securities markets, seeking that magic dice that pushes you right up the ladder of growth?

Are you looking out to gain competency and mastery over? –

  • Using theoretical models of assets to value financial products like equities and derivatives correctly
  • How risk plays out in choosing a portfolio
  • How international financial markets function
  • Adverse selection and moral hazard problems on the informational irregularities within financial markets
  • Skills that are necessary to help you manage portfolios according to customer requirements

The Executive Programme in Investment Banking and Capital Services is the best program for you. You fulfill your career aspirations in the finance industry by acquiring the necessary practical knowledge as well as the technical skills essential for a finance professional.

IIM Calcutta, the globally acknowledged business school in the discipline of finance, collaborates with Imarticus, an in-demand skill training and educational organization for executive development, to bring you the IIM Calcutta Investment Banking and Capital Markets Certification course from April 2022. 

best investment banking and capital market coursesThe program delivers in-depth knowledge of investment banking and global capital markets. The pedagogy is so designed that you get an opportunity to interact with industry leaders and work on a capstone project.

The Course Gets you into Readiness as an Executive of the Future

This executive program in investment management hand-holds you through ten subjects with their contents carefully crafted to impart in-demand technical and managerial skills, effective understanding of the subject, and application in practice.

These subjects are Financial Accounting and Analysis, Financial Management and Financial Economics, as foundation modules, and, Debt Capital Markets, Equity Capital Markets, Mergers, Acquisitions and Restructurings, Portfolio Fund Management, Securities Market Research and Valuation, Securities Market Sales and Trading, and Securities Market Regulations, as seven advanced modules.

What’s more? You have two three-day campus immersions at IIM Calcutta, one each towards the beginning and end of the IIM Investment Banking course. Through these three-day immersions, you know about Fintech and Blockchain, Bitcoins and Cryptocurrencies, Financial Risk Management, Sustainability and Impact Financing, etc. from some of the best faculty in the country with diverse experiences.

Not only the knowledge, but you also gather the current global perspectives on different topics as you interact and network with peers and faculty on-campus.

You Develop Competency Skills

The IIM Calcutta Investment Banking Certification course is not only about cramming the subjects but you are also required to work on real-world projects, dissect and study cases, come out with strategies and hone your application skills. Through these, you imbibe an overview of investment banking, capital markets and gain the competencies necessary for you to function as a professional in investment banking and capital markets.

Certificate of EPIBCM From IIM Calcutta is Time-proof

Not only in the near future, but the certificate you get on successful completion of your Executive Programme in Investment Banking and Capital Markets (EPIBCM) is time-proof too. It is testimony to the commitment of one of the topmost institutes of the country of having offered and delivered to you the best possible learning experience for putting your career on the elevated track to growth.

The IIM Calcutta Capital Market course automatically gets you an IIMC Executive Education Alumni status, with access to the institution’s dedicated portal. You keep yourself updated with the latest articles, features, and happenings in your field. You are a future-ready executive, always.

What’s in store for capital markets training programs in 2022?

Capital markets training programs are evolving at a rapid pace. Professionals need to stay with new advancements to keep up with the latest changes and trends.

Here, we will take insights into some of the significant changes that can occur in capital markets training programs over the next few years. Whether you are a professional or just starting in your career, these changes will be sure to impact you!

The current state of capital markets training

Capital markets training programs have come a long way in recent years. In the past, most courses focused on teaching students about the theoretical aspects of financial markets. However, thanks to the global financial crisis, there has been a shift towards programs that focus on practical skills and hands-on learning.

Today, capital markets training programs can give students the tools to succeed in their careers. These programs include a wide range of topics, including investment banking, derivatives trading, and asset management strategies.

Here are some expected changes in capital markets training programs in 2022 include:

  • A renewed focus on ethics and compliance
  • An increased emphasis on technology training
  • More experiential learning opportunities
  • Expanded course offerings to meet the requirements of a global workforce

These are just a few of the changes we can expect in capital markets training programs over the next few years. 

How will these changes impact capital market training programs?

Technology advancements will continue to drive change in the capital markets industry, impacting how training programs are delivered.

  • There will be a greater focus on experiential learning, emphasizing simulations and case studies.
  • The use of virtual reality (VR) and augmented reality (AR) can grow, providing learners with a more immersive learning experience.
  • Blended learning approaches will continue to gain popularity, with a greater focus on online and self-paced learning.

We can expect to see more gamification in capital markets training programs, as it is an effective way to engage learners and promote learning.

That’s what’s in store for capital markets training programs in 2022!

Discover capital market certification with Imarticus Learning

The Financial Services and Capital Markets course gives students a thorough grasp of investment banking and capital markets. Students will also get an advantage over their classmates by studying at IIM Lucknow’s top-tier business school!

Course Benefits For Students:

  • Study with an outcome-focused curriculum and hands-on learning approaches to develop expertise in essential domains.
  • Learners will have the opportunity to meet and engage with classmates and industry professionals as part of this program.
  • This capital markets training program is for mid-level employees who have basic financial skills but want to develop in their careers. Besides, it will provide students with vital skills and information and open possibilities for restarting a career in finance.

Why are financial markets courses gaining popularity?

There is an increased interstate in people towards finance and investments. They want to make more investments and naturally want to learn more about its ups and downs. They are also willing to spend time learning new areas to achieve their financial goals. 

On the other hand, this growing interest in people has opened doors for the industry to come up with niche skills and courses that focus on specific topics rather than a border syllabus to be learned over a lengthy period. 

The availability of such specific topics as short-term courses is one of the major reasons for the popularity of courses on financial markets these past couple of years. But it is not the only cause for its popularity. Here are some other significant reasons. 

#1 More trading and investments

The pandemic has forced many towards trading. While the majority are trading based on the various reports on the media, the smarter investors rely on the experts to make trading. The larger investors suddenly needed more experts with them. This increase in demand for such expert investors had led to a rush for the courses for investment banking.  

#2 Precise curriculum

While there is a multitude of online and offline courses in financial marketing and investment banking, only those with a precise curriculum and specific niche are gaining popularity. They are also able to produce experts in those specific fields and can land more jobs. 

One such course is the Certified Investment Banking Operations Professional (CIBOP) at Imarticus which focuses on financial marketing, trade life cycle, and risk management. The course prepares the aspirants for the industry with the help of industry experts. Here, the aspirants will be getting trading simulations for a more hands-on experience during this 180 hrs long course. 

Upskilling

Keeping up with the growing and changing technology is key for all professionals to maintain or improve their career prospects. This is why upskilling is part of the career that many professionals are constantly making use of.

For finance professionals, upskilling is essential, without which many could not have productive work. For the millennials, upskilling is a way to ensure a safe financial future. They also prefer those short-term courses online rather than spending a lengthy period on-campus.

Improve knowledge base

The short-term financial marketing and investment banking courses are more reliable for newcomers in the financial world or professionals looking to improve their knowledge base. Though there are various blogs and videos available online, these courses offer them a more reliable source for information.

They can also get expertise from the industry leaders. Since there is no age bar for such courses, anyone who has a basic degree could pursue them and learn investment banking to become an investment banker.  

This is why courses such as CIBOP will be helpful for them and can also help them gain an interview with the leading companies. They will get constant assistance with their career progress as well. 

Conclusion

Financial marketing and investment banking (IB) were not so popular until the end of 2020. These two industries have seen an exponential increase in participation and career prospects. In 2021, the popularity of these industries has grown such that they are among the top 5 in terms of demand for the related courses.

Financial courses such as IB, Fintech, and Financial Analysis Prodegree, etc., are a few examples. Even the industry giants are entering the ed-tech field. The CIBOP course at Imarticus is done in association with the London Stock Exchange Group. 

Foresight 2022: Reasons why you should consider an Executive Program in Investment Management from IIM Calcutta

Foresight 2022: Reasons why you should consider an Executive Program in Investment Management from IIM Calcutta

Reports, trends, and forecasts for 2022 believe that there will be the destruction of productive assets and disruptions in the supply of food and basic materials arising out of more frequent and more severe weather disruptions.

The middle-East, East European, and Asia-Pacific regions will continue to have pockets with escalations in conflict.  Enforcement of discarding fossil fuel usage, accelerated adoption of technologies, especially after the widespread use of IT and communication technologies during the pandemic, will reign.

Over-riding the impact of these and others, there will be a surge in the post-pandemic led labor upskilling and building of productive capacities.

Forecasts based on the cumulative effect of all these are a modestly higher global growth and two-sided inflationary risk. In such a scenario, investment markets are likely to yield low returns. Yet there are likely to be opportunity windows for measured risk-taking and harvesting good returns. This will call for looking beyond the traditional classes of assets and yet hedging risks.

The role of the investment banker, analyst, and advisor with capabilities of attunement to market, keen attention, and skill of active asset allocation assumes great importance for investors. Future 2022 is for trained, skilled, reliable investment bankers, and advisors.

The IIM Calcutta Executive program in investment management, commencing from April 2022, is designed to specifically impart this essential banking knowledge and skills to you.

The course adds to your banking knowledge and skills

The IIM Investment Banking course equips you with solid knowledge of the ethics and regulations of investment banking and capital markets, studying the most recent developments in regulation and compliance in capital markets.

You get to work with quantitative tools and real-life, current case studies that you dissect, analyze, and strategize. These practical applications of subjects taught, imbibe cutting-edge, in-demand technical and managerial skills aid an effective understanding of the subject matter.

You gain insights into Investment Banking, Equity Research, Credit Analysis, Financial Analysis, Project Finance, Capital Markets, Mergers and Acquisitions, IPO, etc.

You are equipped for Future 2022

The IIM Calcutta Capital market course gives you an understanding of the nuances of the markets that include complex financial assets like Derivatives and Fixed Income securities. You are skilled to look in-depth into the capital market trading place wherein individuals and corporates indulge in buying and selling of investment securities. 

The program trains you to function as an analyst, portfolio manager, and relationship manager, assessing the performance of these assets and helping your customer with smart investment decisions.

The IIM Calcutta Investment Banking and Capital Markets course enable you to also function as a consultant applying your acquired expertise for taking smart investment decisions for mergers and acquisitions, equity market, credit, and IPO analysis.

You emerge from the program with a 360-degree view of the entire landscape of financial services that propel your career to great heights in the fast-moving global financial environment.

Asset for all times – IIM Calcutta Certificate

IIM Calcutta is globally long recognized as the leader in the Finance discipline. It has been attracting the top investment bankers every year. Morgan Stanley, Merrill Lynch, Goldman Sachs, Credit Suisse, Fortis, Lehman Brothers, Barclays Capital, UBS, Deutsche Bank, JP Morgan, HSBC, Citigroup, and ABN AMRO have all relied on IIM Calcutta for finance personnel.

Your certificate from IIM Calcutta validates your skill, competency and underlines your future readiness in Investment Banking and Capital Markets, opening avenues for immense career growth on a global platform.

How are Derivatives Changing Markets?

Gone are the days when people had only limited securities to invest in. At present, there are many trading options available to investors. Many investors rely on investment banks to pick the right financial instruments to invest in. Many times, an investment bank itself engages in the trading of financial instruments.

Among all the financial instruments available for trading, derivatives are widely preferred around the globe. Derivates have changed the way the financial market used to work. It is why investment banks are hiring individuals that understand the derivatives markets. Read on to know the role of derivatives in changing markets.

Understanding derivatives market

A derivatives market consists of several financial instruments that can be traded. It usually consists of several types of financial contracts whose value is based on other assets. A group of assets can also determine the value of any particular derivative. A derivative can be traded from a dealer or on the stock exchange.

By placing a bet on the future price of any financial instrument, investors can earn huge rewards. The exchange of derivatives on the stock exchange is governed by a set of regulations. Unlike the stock exchange, the trade of derivatives via dealers is usually unorganized. While exchanging derivatives can provide huge returns, it also possesses several risks.

Derivatives markets have not been around forever. In India, the early 2000s saw the introduction of the derivatives market. Since the underlying assets that determine the value of derivatives are shares, currency, etc., it is easy for investors to place their money. The derivatives market is full of risks but still attracts many investors due to high returns.

If you are to learn investment banking, you should know about the derivatives market that is disrupting traditional markets for financial instruments. Many investors are protecting themselves from market volatility at present by investing in derivatives. 

Who are the participants in a derivative market?

The participants that indulge in a derivative market are as follows:

  • Hedgers: Hedgers invest in the exchange market with a motive to protect themselves from price volatility. It is why hedgers choose derivatives to protect themselves from any future price changes. 
  • Speculators: Speculators invest in any financial instrument that will be of great value in the future. A great amount of risk is involved in speculation as you need to predict which financial instruments will be of huge value. 
  • Arbitrageurs: When price volatility occurs for any financial instrument, arbitrageurs step up to make profits. Arbitrageurs usually wait for a price difference to arise between two different markets and make profits out of it. 
  • Margin traders: Margin traders usually rely on collateral for trading financial instruments. They have to provide the counterparty with collateral for trading financial instruments. It is done to cover the credit risk that can arise while trading financial instruments.

These participants can invest in several types of derivatives. If you are looking to build an investment banking career, you should know about the type of derivatives and how to trade them. You can go for an investment banking online program to learn more about the derivatives market.

Best course for investment banking in 2022

We at Imarticus Learning bring the CIBOP course which, is an industry-oriented program for young investment bankers. In association with the London Stock Exchange, we provide this course for individuals that want to know the common practices in the investment banking sector.

Once you gain an industry-recognized certification, it is easy to grab a lucrative job in the investment banking sector. For making sure you get a head start, Imarticus will offer placement support during the CIBOP course. Learn more about the derivatives market by joining the CIBOP course!

Diploma in finance management: Correlation and Diversification

Are you interested in banking courses and want to specialize in a subject that focuses on the financial management system at the organizational level? Then a Diploma in Financial Management might be the perfect way to your dream job. 

Pupils who excel in commerce and planning the organizational budget structure can choose this Financial Risk Management course. Imarticus Learning has come up with a Post Graduate Diploma in Management with a specialization choice in FinTech and Artificial Intelligence & Data Science.

The course is well-structured with subjects like managing the reporting system and financial accounting of a company, calculation, and evaluation for cost reduction chances. This article will help you get a comprehensive understanding of Financial Management and the use of Correlation and Diversification in finance.

What is Finance Management?

Financial management consists of strategic organizing, controlling, planning, and directing financial undertakings in any business entity or organization. It is also used in fiscal management and involves management principles to the financial assets of any business. Some of the principal objectives of financial management are: 

  • Preserving enough supply of funds 
  • Guaranteeing shareholders get satisfactory returns on their investments
  • Optimize the utilization of company funds
  • Creating safe investment opportunities for shareholders to invest

Advantages of a Diploma in Finance Management

There are many advantages of doing a certified Diploma course in Finance Management. Some of the major advantages are: 

  • It will open new avenues for you, like financial planning services, investment banking, insurance companies, brokerage firms, etc.

  • It will create a solid foundation for other educational opportunities and job-specific training programs.

  • It will give you practical knowledge that will be a headstart when you start as a sole trader or begin your own small business.

  • It will give you a better understanding of finance and help you grasp complex financial concepts.

Correlation

Correlation is a statistic that gauges the extent to which two variables move concerning each other. In the financial world, correlation is used to measure how stocks move with respect to a benchmark index. However, it can only show the association between two securities, but not the reason behind the association.

Correlations are used in the finance and investment industries to create advanced portfolio management where they are computed as correlation coefficients. These coefficients must have a value between -1.0 and +1.0.

Analysts, traders, and investment managers compute the correlation between various financial securities to find an estimate of the risk reduction benefits of diversification. They mainly rely on modern software and financial spreadsheets to calculate the correlation value.

Diversification

The very rudimentary step of investing is not to put all your money in one type of investment. You should plan and spread your money among different investment vehicles to limit the risk of facing loss. This strategy of risk management is known as diversification.

A diversified portfolio will consist of mixed asset types to reduce risk or exposure to any single asset type. The rationale behind this strategy is that a diversified portfolio will diminish the risk of any individual holding and yield higher long-term returns. On average, the positive performance of some areas of the portfolio will outweigh the negative performance of others. 

Conclusion

Financial management helps business organizations in their financial planning and assists them in the acquisition, allocation, and utility of company funds. It helps them in making critical financial decisions and generating higher revenues. Take the Financial Services and Capital Markets course of Imarticus Learning for diverse career opportunities in the field of finance. 

How effective is IIM Calcutta Investment Banking and Capital Markets Certification?

IIM Calcutta commences its Executive Development Certification Programme in Investment Banking and Capital Markets from April 2022. Notably, IIM Calcutta is recognized as one of the world’s foremost institutes in the discipline of finance. It ranks above world-renowned institutions like the London School of Economics, Aalto University, and Manchester Business School.

A course in investment banking and capital markets from IIM Calcutta will be one of the finest of its kind. The course is offered in collaboration with Imarticus, enhancing the efficacy and effectiveness of the 12-month program.

Effectiveness Through Course Content

The IIM Investment Banking course certification needs the completion of three foundation modules, including financial economics, financial accounting and analysis, and financial management, as well as seven advanced modules covering:

  • Debt capital markets (debt financing and valuation, debt origination and structuring, credit appraisal, and loan portfolio management)
  • Equity capital markets (equity financing and valuation, equity origination, underwriting, and issuance mechanisms)
  • Mergers, acquisitions, and restructurings (various aspects of advisory business such as corporate restructurings, merger and acquisition deal-making and valuation, takeover tactics, and leverage financing)
  • Portfolio fund management (investment analysis and portfolio management such as portfolio theory and asset pricing models, factor investing, private equity and alternate investments and portfolio investment strategies)
  • Securities market research and valuation (securities market research and valuation such as industry analysis, cash flow estimation, corporate valuation, and industry analyst research report evaluation)
  • Securities market sales and trading (securities market research and valuation such as industry analysis, cash flow estimation, corporate valuation, and industry analyst research report evaluation)
  • Securities market regulations (securities market regulations pertaining to security market issuances and security issuers, capital market investors and regulators, market infrastructure institutions, and corporate governance mechanisms)

The program equips you with knowledge of the recent developments in capital markets, their regulation, and compliance, deepening your expertise in capital markets. It imparts you with skills to function in an advisory capacity for individuals seeking to invest and grow their wealth.

Effectiveness Through Course Delivery

The investment banking and capital markets certification come only after the successful completion of the program with continuous assessment of imbibed learning and skills. There are two three-day immersive on-campus schedules, one each towards the start and the end of the program when you interact with your faculty and network with fellow participants. Fintech and blockchain, bitcoins and cryptocurrencies, financial risk management, sustainability and impact financing, etc., are part of the on-campus schedule.

The IIM Calcutta Capital Market course gets you to work on real-world projects and case studies. These give you an overview of investment banking and capital markets, simultaneously, inculcating the technical skills necessary for an advisor and investment banker.

How do You Become Effective After The Certification?

On completion of your executive program in investment management IIM Calcutta Investment Banking and Capital Market course, you would have acquired:

  • The skill of correct valuation of financial products such as equities and derivatives
  • Understanding of the role of risk in portfolio choice
  • Knowledge of how international financial markets function
  • The role of adverse selection and moral hazard problems on the informational irregularities within financial markets
  • The skills necessary to help you manage portfolios based on the requirements of your customers

Armed with a certificate from IIM Calcutta as your passport, you move on to the fast-track to growth as an investment banker, analyst, and advisor.

Your flourishing career is the effectiveness of the IIM Calcutta Investment Banking and Capital Markets certification program.