Program Details for PhD In Finance

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, FinTech, and Digital Finance Innovations

Course Outline:

  • Year 1:
    • Advanced Theories in Financial Markets and Corporate Finance
    • Investment Analysis and Portfolio Optimization
    • Risk Assessment, Governance, and Financial Regulations
    • Research Methodologies in Finance and Economics
  • Year 2:
    • Global Financial Markets and Economic Policy Analysis
    • Financial Technology (FinTech), Blockchain, and AI in Finance
    • Quantitative Finance and Statistical Modeling
    • Dissertation Proposal Development
  • Year 3 (if applicable):
    • Independent Research and Dissertation Writing
    • Final Thesis Defense and Scholarly Publication

Program Requirements for PhD In Finance

Requirement

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

Requirement

Strong research background in financial modeling, risk management, or investment strategy

Requirement

Research proposal submission aligned with faculty expertise

Requirement

Statement of purpose and academic references

Requirement

Tution : $16500