Program Details for PhD in Financial Management

Program Details:

  • Duration: 2-3 years
  • Credits Required: 90

Specializations:

  • Corporate Finance and Investment Strategies
  • Financial Risk Management and Compliance
  • Behavioral Finance and Market Psychology
  • Banking and FinTech Innovations

Course Outline:

  • Year 1:

    • Advanced Financial Theories and Market Dynamics
    • Investment Analysis and Portfolio Management
    • Quantitative and Qualitative Research in Finance
    • Risk Assessment and Corporate Financial Strategy
  • Year 2:

    • Global Financial Markets and Economic Policy
    • FinTech, Blockchain, and Digital Finance Innovations
    • Ethical Considerations in Financial Management
    • Dissertation Proposal Development
  • Year 3 (if applicable):

    • Independent Research and Dissertation Writing
    • Thesis Defense and Scholarly Publication

Program Requirements for PhD in Financial Management

Requirement

Master’s degree in Finance, Economics, Business Administration, or a related field

Requirement

Strong research background in financial analytics or investment strategy

Requirement

Research proposal submission aligned with faculty expertise

Requirement

Statement of purpose and academic references