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Master of Commerce (M.Com.) Financial Services Syllabus - Mumbai University

Financial Services Syllabus.pdf
Mandatory course · Semester 3 · M.Com. Advance Accountancy · 4 credits · 100 marks

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Syllabus for Financial Services

Mandatory course · Semester 3 · M.Com. Advance Accountancy · 4 credits · 100 marks

Module I: (2CREDITS)

  • Unit 1 Financial Services: Leasing
  • Introduction to Financial Services: Meaning and Types
  • Leasing : Meaning, Types, Advantages and Disadvantages.
  • Regulatory Aspects of Leasing.
  • Evaluation of Lease: From lessee’s and lessor’s perspective.
  • Lessee’s Perspective: Present Value Analysis, Internal Rate of Return analysis, and Bower- Herringer Williamson Method.
  • Lessor’s perspective: : Net Present Value and Internal Rate of Return Method.
  • Calculation of Break Even Lease Rental.
  • Unit 2 Financial Services: Factoring
  • Introduction, Definition and Mechanism and Growth of factoring.
  • Regulatory Aspects of Factoring.
  • Functions of factor. 
  • Forms of Factoring: Recourse and Non – Recourse, Advanced and Post facto, Full, Disclosed and Undisclosed, Domestic and Cross Border. 
  • Forfaiting: Meaning, Process and Difference between forfaiting and export factoring. 
  • Calculation of net cost of factoring.

Module II: (2CREDITS)

  • Unit 3 Alternative Investment Funds
  • Introduction, Evolution, Avenues, Distinguish between Traditional and Alternative
  • Investment Funds and Difference between Alpha and Beta.
  • Types: Venture Capital Fund, Angel Fund, Private Equity Fund, Special Fund, Debt
  • Fund, Infrastructure Fund, SME Fund, Hedge Fund and Social Venture Fund.
  • (Theoretical aspects only)
  • Calculation of Returns: Yield to Maturity, Multiple on Invested Capital, The Kaplan- Schoar Public Market Equivalent (KS-PME) and Direct Alpha Method.
  • Unit 4 Portfolio Management Services
  • Portfolio Management Services: Meaning, Advantages, Types, Strategies: Active and Passive Strategies.
  • Portfolio Analysis: Traditional Vs Modern - Rationale of Diversification - Markowitz
  • Theory - Effect of Combining two securities.
  • Measurement of Expected Return of Portfolio - Portfolio Risk (including Practical Problems).

Reference Books

  • Reilly: Investment Analysis and Portfolio Management, Thomson
  • Fisher Donald E & Ronald J Jordan: Securities Analysis & Portfolio Management, PHI
  • Francaia Jack Clark & Richard W Taylor: Theory & Problems of Investment, Mcgra
  • PunithavathiPundyan: Securities Analysis & Portfolio Management, Vikas
  • Avadhani, V.A: Investment & Security Management in India, Himalaya
  • Gangadhar V: Investment Management, Anmole
  • Sulochana M: Investment Management, Kalyani
  • Strong: Practical Investment Management, Thomson
  • Avadhani, V.A: International finance, Himalaya

Reproduced from the University of Mumbai syllabus for M.Com. (Advance Accountancy) under NEP 2020, in force from the academic year 2023-24. Wording is as printed in that syllabus. Module numbering is as printed there too.

The complete syllabus

This subject is cut from the University circular for its specialisation. Open a document here if you want the whole thing rather than a single subject.

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