The Bachelor of Science in Investment Management program focuses on the art and science of managing investment portfolios, analyzing financial markets, and maximizing returns for individuals and organizations.
Key Highlights:
- Core Curriculum: Study asset valuation, portfolio management, financial derivatives, and behavioral finance.
- Industry Engagement: Interact with financial professionals through guest lectures and internships.
- Global Perspective: Explore international markets and investment opportunities.
- Technology and Tools: Learn to use platforms like Bloomberg Terminal and advanced analytics software.
- Capstone Project: Build a comprehensive investment portfolio based on market analysis and client objectives.
Learning Outcomes:
Graduates will:
- Demonstrate expertise in investment strategies and asset management.
- Analyze financial data to make informed investment decisions.
- Manage risks associated with different investment vehicles.
- Communicate investment strategies to clients and stakeholders.
- Adapt to global trends in financial markets.