PhD in Financial Management
Program Code: DUSBM-P-04
Introduction
The PhD in Financial Management is an advanced doctoral research program focused on financial strategy, investment, corporate finance, risk management, financial markets, and organizational financial decision-making. The program emphasizes original research, advanced analytical methods, and critical evaluation of financial theories and practices. It prepares scholars and professionals to contribute innovative knowledge and evidence-based solutions to complex financial challenges.
Areas of Specialization / Fields of Study
Corporate Finance, Investment Management, Financial Risk Management, Financial Markets, International Finance, Portfolio Management, Financial Planning, Banking and Financial Institutions, Financial Analytics, and Corporate Governance.
Program Learning Outcomes
Graduates will be able to conduct original financial research, critically evaluate financial theories, analyze complex financial problems, develop evidence-based financial strategies, apply advanced research methodologies, and contribute scholarly knowledge to finance and financial management.
Academic Requirements for Admission
A recognized master’s degree or equivalent postgraduate qualification in Finance, Financial Management, Business Administration, Commerce, Economics, or a related discipline. A research proposal and interview may be required.
Language Requirements for Admission
Proficiency in English.
Career Outcomes
University Professor, Financial Researcher, Financial Consultant, Investment Analyst, Risk Management Specialist, Corporate Finance Manager, Financial Strategist, Banking Executive, and Finance Policy Advisor.
Accreditation Note
Accredited by International Accreditation Body.