BML Munjal University

BML Munjal University

67th KM Stone, NH-8, in the Gurugram district of Haryana, India
|
4.7 Ratings
|
Private|Estd. 2014|NAAC Grade A|NIRF #7 (Overall) 2024

Written By Shilpa Sushil

Updated on – 22 Dec, 2025

BCom / BCom (Hons) in Derivatives & Risk Management at BML Munjal University

The BCom / BCom (Hons) in Derivatives & Risk Management is a three-year undergraduate program designed to provide students with expertise in financial derivatives, risk assessment, hedging strategies, investment analysis, portfolio management, and financial instruments.
The program equips students with analytical, quantitative, and practical skills required for careers in risk management, investment banking, financial consulting, and corporate finance.

Course Details

  • Course Fee: ₹2,50,000 per year

  • Duration: 3 Years (6 Semesters) + 1 Year (2 Semesters for Hons Degree)

  • Eligibility: 10+2 in any stream with minimum 60%

Course (Year-Wise)

Year / SemCore Management SubjectsDerivatives & Risk Management / Specialization SubjectsPractical Components
Year 1Principles of Management, Business Communication, Business EconomicsIntroduction to Financial Derivatives, Basics of Risk ManagementAssignments, Case Studies
Year 2Financial Management, Organizational Behaviour, Business LawFutures, Options & Swaps, Risk Assessment TechniquesCase Studies, Simulation Exercises
Year 3Strategic Management, Operations Management, FinanceHedging Strategies, Portfolio Risk Management, Capital Market InstrumentsInternship, Derivatives Project
Year 4 (Hons Year)Advanced Strategy, Research MethodsAdvanced Derivatives, Credit Risk Management, Financial AnalyticsResearch Thesis, Risk Management Capstone Project

Career Scope

Graduates can work in:

  • Investment Banking & Financial Institutions

  • Risk Management Departments in Corporates

  • Portfolio & Asset Management Firms

  • Financial Consulting & Advisory Firms

  • Hedge Funds & Trading Companies

  • FinTech & Analytics Companies

  • Higher studies: MBA Finance, CFA, FRM, PGDM Risk Management

Job Profiles & Key Responsibilities

  • Risk Analyst / Manager: Identify, assess, and mitigate financial risks

  • Derivatives Analyst: Analyse and trade financial derivatives

  • Investment Analyst: Evaluate portfolio performance and investment strategies

  • Financial Consultant: Provide advisory on risk and hedging solutions

  • Portfolio Manager / Analyst: Monitor and manage investment portfolios

  • Credit Risk Analyst: Assess credit risk and manage exposure

  • Trading Analyst: Execute trading strategies in derivatives and financial markets

Career Sectors

  • Banking & Financial Services

  • Investment Banking & Hedge Funds

  • Portfolio & Asset Management Firms

  • Corporate Risk Management Departments

  • FinTech & Financial Analytics Companies

  • Consulting & Advisory Firms

  • Capital Market Trading Firms

Why Choose BCom / BCom (Hons) in Derivatives & Risk Management at BMU?

  • Curriculum aligned with financial risk and derivatives industry standards

  • Practical exposure to derivatives trading, portfolio analytics, and risk assessment tools

  • Internships and live projects with banks, investment firms, and corporates

  • Strong foundation for CFA, FRM, MBA Finance, and investment banking careers

  • High employability across derivatives, risk, and finance-driven industries

College Predictor

Know Your Odds Of Admission

Search Now

Similar Colleges