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Finance is a vast subject and the specialization at the master’s level caters to the working professionals who wish to amplify their knowledge of the subject to take them further on their career path.

The core subjects that form this course could consist of Managerial Economics, Corporate Financial Theory and Applications, Quantitative Tools for Finance, and Investment Theory and its Applications.

Other courses that can be selected as optional courses (according to the interests of the student)could be from Mergers and Acquisitions, Venture Capital and Entrepreneurial Finance; Real Estate Finance, International Financial Markets, Corporate Finance, Trading and Structure of Equity Markets, Advanced Managerial Finance, Advanced Investment Analysis, Debt Instruments and Markets, and Options Markets. There may be variations in the course contents in different universities in different countries.

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Managerial Economics is also known as Business Economics and deals with the practical application of the concepts and analysis of economics to the issues that arise in business, in order to render decision making and future planning simpler. Modules such as Economic Theory and Econometrics are usually part of the course.

Corporate Financial Theory and Applications deals with theory and verification with regard to asset pricing models, capital structure, dividend policy, efficient markets, agency theory, takeovers and corporate reorganization, option pricing theory and applications, international finance and investment appraisal.

Quantitative Tools for Finance are the statistical methods and models used for forecasting in the futures market as well as the probabilities of default in loans and forward contracts. These tools are widely used by professionals and investors to make complex decisions in market management and in the risk and credit management.

The curriculum for Investment Theory and its Applications could include analysis of equity market returns in the past, portfolio analysis and asset pricing models, equity portfolio management, stock analysis, portfolio performance evaluation, efficient market hypothesis and portfolio management along with prediction of portfolio returns in the active market.

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The course content of Mergers and Acquisitions is about the risks and strengths of the financial and strategic alternatives of the organizations that are involved in the mergers or acquisitions. The student would learn how: to evaluate and price acquisitions, to identify, implement and control the synergies in the merger or acquisition, to carry out pre-merger analysis to find ways of enhancing shareholder value, to negotiate the terms of the agreement effectively and efficiently, to restructure the post-merger environment and the divestitures and the methods of financing the acquisition.

Venture Capital and Entrepreneurial Finance is a course that focuses on the various tools that are used in the venture capital industry such as the venture capital method, analysis methods used in: comparable and discounted cash flow, contingent claims, real options and decision trees.

Real Estate Finance courses are necessary for evaluating the costs of the basic projects, planning financing strategies for investment and acquisition of the real estates, and understanding the capital markets issues that are relevant to real estate.

The course in International Financial Markets is useful for understanding the working of international markets so as to be able to apply that in resolving issues in financing foreign assets and foreign debts of companies operating in the international environment. International Foreign Exchange markets, parity relationships, determination of exchange rates, exposure and hedging in risk management strategies, risk and return in international investments, and international capital budgeting could be some of the modules discussed in this course.

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Corporate Finance consists of concepts and tools for the analysis of financial decisions based on basic financial theory principles. This course could cover areas such as techniques in discounted cash flow; corporate capital valuation and budgeting; investment decision making when the conditions are uncertain; capital asset pricing; and market efficiency. Analysis of corporate financial policiessuch as capital structure, cost of capital, dividend policy and so on.

Equity Markets course deals with the study of trading and structure of equity valuation, the global equity markets and equity derivatives like the Stock Index Futures, Equity Options, Equity Structured Products, Principal-protected equity-Indexed Products, Warrants and Convertibles.

Advanced Managerial Finance would introduce the advanced concepts and methods of financial management. Course modules could consist of units in risk and return, asset evaluation, capital budgeting, capital structure, business financial planning and working capital management.

Advanced Investment Analysis is a useful course for students intending to get into the Investment Management industry as a portfolio manager or a security analyst. Modules could cover investment risk and return, building practical risk model tools, and diagnostic tools to assess investment management.

Debt Instruments and Markets: could include modules in money market instruments, government bonds,tools and techniques for the measurement of rate risk and management of risk in a bond portfolio,domestic and international corporate bonds,;asset-backed securities; and bonds with options such as callable corporate bonds andmortgage-backed securities.

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