MBA in Global Financial Markets is a specialized postgraduate program designed to provide in-depth knowledge and skills in managing and analyzing global financial markets. This course typically spans 1 - 2 years, depending on the institution and format (full-time or part-time). Students will learn about international finance, investment strategies, portfolio management, risk management, financial instruments, and the impact of global economic events on financial markets. The program emphasizes both theoretical knowledge and practical application through case studies, internships, and industry projects. Graduates are prepared for leadership roles in financial institutions, investment banks, asset management firms, and multinational corporations. The MBA also enhances skills in financial analysis, strategic decision-making, and market research.