Lab I
Investment View
An investment view on a listed company within its global and macroeconomic context.
BBA in
Taught by practitioners who have built, traded, and managed real capital
Apply NowFrom day one, you engage with live markets, listed companies, and real investment decisions — not just textbooks.
Your sessions are led by equity analysts, investment bankers, portfolio managers, and market professionals who bring live context into the classroom.
Curriculum benchmarked against CFA Institute, NISM, GARP, CAIA, and CISI frameworks, so every module maps to what the industry actually demands.
Eight dedicated AI labs run across semesters, from AI for Financial Workflows in Year 1 to AI for Trading and Portfolio Optimization in Year 3.
Estimated post-graduation compensation over 5 years (All figures in INR Lakhs per annum)
Standard BBA Graduate pay estimates are based on entry-level compensation at banks and financial institutions, assuming roles such as Financial Analyst, Credit Analyst, and Relationship Manager, with standard progression over 4–5 years, using data from AmbitionBox, Glassdoor, and similar sources.
FIA Graduate pay estimates are based on compensation at investment banks, asset management firms, and equity research houses, assuming roles such as Research Analyst, Investment Banking Analyst, and Portfolio Associate, with standard progression over 3–5 years, using data from AmbitionBox, Glassdoor, and similar sources.
Curriculum Architecture




From Indian foundations to world markets, guided by analysts, bankers, professors and innovators, building market-ready finance careers from day one.
Learn the fundamentals that power every finance career — taught in the classroom, sharpened in the lab from day one.




From practical finance briefs to employer-ready outputs, students work on projects aligned to real roles across banking, markets and corporate finance.
Build financial models, ratio analysis, DCF basics and company valuation case studies using listed businesses.
Work on M&A simulations, fundraising decks, due diligence exercises and transaction case discussions.
Track IPOs, equities, mutual funds, fixed income and macro events to prepare market reports and investment insights.
Present research reports, valuation outputs and strategic recommendations to faculty, mentors and industry panels.
Market Labs
Every semester, students complete a Market Lab — a structured, market-facing deliverable that goes far beyond classroom assessment.
Lab I
An investment view on a listed company within its global and macroeconomic context.
Lab II
A strategy-led portfolio benchmarked against a global index with performance evaluation.
Lab III
Equity research coverage initiation with cross-market peer analysis and an investment recommendation.
Lab IV
Company valuation under varying macroeconomic scenarios, defended before a formal review panel.
Lab V
A multi-asset portfolio across geographies targeting alpha, with performance attribution.
Lab VI
A credit evaluation and investment recommendation weighing global sector and sovereign risks.
AI Integration
Six dedicated AI labs, one per semester, move from foundational financial workflows in Year 1 to credit and risk analytics in Year 3. This is not a standalone module — it is embedded into how students learn to analyze, model, and decide.
Year 1 · Start
Foundational Financial Workflows
Year 3 · Mastery
Credit & Risk Analytics
Career Outcomes
FIA graduates move into the roles that define modern finance — across markets, deals, research and risk.
8 career destinations














Find answers to common questions about our MBA and Investment Banking & Capital Markets program.
The programme is delivered in partnership with leading Indian universities on campus. Students receive a recognised university qualification with an industry-integrated curriculum designed for modern finance careers.
This programme replaces general business education with a finance-first, markets-first curriculum from Semester 1. Students engage with live markets, run financial models, complete six Market Labs, and go through six AI labs before they graduate.
Graduates are prepared for roles in investment banking, equity research, capital markets, asset and portfolio management, credit analysis, wealth management, FinTech, and quantitative finance.
The curriculum is benchmarked against CFA Institute foundational levels, NISM India markets frameworks, GARP risk standards, CAIA alternative investment principles, and CISI professional standards, strengthening preparation for these global certifications post-graduation.
Yes. Students who wish to pursue advanced investment banking, portfolio strategy, and research roles can continue to the Honours year. It is an opt-in pathway, not a requirement for the degree.