M.Com in Risk Management
Semester-wise Syllabus for M.Com in Risk Management
Semester 1: Foundations of Risk Management
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Principles of Risk Management
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Types of Risk (Financial, Operational, Strategic, Reputational)
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Risk Management Frameworks (COSO, ISO 31000)
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Quantitative Methods for Risk Analysis
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Probability Distributions, Monte Carlo Simulations
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Value at Risk (VaR) & Conditional VaR (CVaR)
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Financial Markets & Instruments
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Derivatives (Options, Futures, Swaps) for Hedging
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Credit Default Swaps (CDS), Securitization
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Corporate Governance & Compliance
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Basel Accords (Basel III/IV), Solvency II
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SEBI/RBI Guidelines for Risk Disclosure
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Elective 1
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Behavioral Finance & Risk Perception
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Cybersecurity Fundamentals
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Semester 2: Advanced Risk Modeling & Mitigation
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Credit Risk Management
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Credit Scoring Models (Altman Z-Score, Merton Model)
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Loan Portfolio Analysis, PD/LGD/EAD
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Market Risk Management
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Interest Rate Risk, FX Risk, Commodity Risk
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Stress Testing & Scenario Analysis
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Operational Risk Management
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Fraud Risk, Supply Chain Disruptions
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Key Risk Indicators (KRIs), RCSA (Risk Control Self-Assessment)
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Enterprise Risk Management (ERM)
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COSO ERM Framework
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Risk Appetite & Capital Allocation
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Elective 2
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Insurance & Risk Transfer (Reinsurance, Captives)
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ESG (Environmental, Social, Governance) Risks
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Semester 3: Specialized Risk Domains & Tools
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Liquidity Risk & Treasury Management
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Liquidity Coverage Ratio (LCR), Net Stable Funding Ratio (NSFR)
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Contingency Funding Plans
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Risk Analytics & AI
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Machine Learning for Fraud Detection
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Predictive Analytics in Risk Assessment
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Regulatory Technology (RegTech)
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Automated Compliance Reporting
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Anti-Money Laundering (AML) Tools
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Elective 3
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Project Risk Management (PMP/PRINCE2)
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Political & Geopolitical Risk Analysis
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Industry Internship
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Risk Consulting Firms, Banks, Rating Agencies
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Semester 4: Strategic Risk & Capstone
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Strategic Risk Management
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Mergers & Acquisitions Risk
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Black Swan Events & Crisis Management
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Risk Leadership & Decision-Making
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Risk Culture in Organizations
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Board-Level Risk Oversight
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Capstone Project
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Real-world Case Study (e.g., Bank Stress Test, Corporate Default Prediction)
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Dissertation
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Research on Emerging Risks (e.g., Climate Risk, Crypto Risks)
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Elective 4
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Advanced Derivatives for Risk Mitigation
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Behavioral Risk Modeling
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