Build a Career in Financial Markets in Just 4 Months
Learn practical capital market skills through industry-led training, real market exposure, and hands-on projects.
4 Months
Course Duration
Expansive
Global Reach
150+
Courses
300+
World-Class Practitioners
20000+
Students Trained
About APCM
Explore the wide range of topics such as financial management, technical analysis, Excel, Forex Markets, and financial modelling etc.
Demonstrate thorough understanding of financial ideas, theories, and practices that may be utilized in a number of business and financial situations.
Identify opportunities to network with industry professionals, which can be beneficial while pursuing a career in financial markets. Generate examples of how derivatives are used and explain about technical analysis.
Career Opportunities
100%
Practical Training
100% Placement Support
Launch your investment banking career with confidence. Get structured placement assistance including CV building, interview preparation opportunities with leading tech and security firms.
Deep Finance Expertise from Faculty
Learn directly from seasoned professionals with hands-on experience in investment banking, capital markets, and financial operations.
Internship Guaranteed
Gain real industry exposure through internships and projects. Work on live simulations and case studies designed to mirror actual investment banking workflows.
Program Curriculum
A comprehensive journey covering financial markets, technical analysis, and extensive models to advanced trading operations.
Advance Program
Capital Market
- Introduction to Financial Markets
- Financial Instruments and Participants
- Regulators and Regulations
- Index
- Demat and Bolt
- Trading and clearing and settlement
- Introduction To Technical Analysis
- Theories, Techniques and Benefits
- Important Aspects of Technical Analysis
- Charts and their patterns
- Trend Lines - Support and Resistance
- Importance of Volume
- Moving Averages
- Technical Indicators
- Introduction to Fundamental Analysis
- Economic Analysis
- Industry Analysis
- Financial statement Analysis
- Introduction to Ratios
- Profitability and Valuation Ratios
- Leverage and Efficiency Ratios
- Analyzing Annual Reports
- Cash Flow Statements
- Funds Flow Statements
- Reporting Requirements
- Investment strategy using FA
- Introduction to Equity Analysis and Investing
- Evaluating Business Models and Industry Analysis
- Goals and Types of Equity Research
- Introduction and Stages of Private Equity Investments
- Drivers Of Performance
- Role of PE Firm and Bank
- Global Private Equity And Emerging Markets
- Shareholder's Equity Schedule
- Raising Equity Capital
- Introduction to M&A
- M&A Analysis
- Basics of Excel
- Getting Advance in Excel
- Custom and Conditional Formats
- Data Validation
- Working with Range Names
- Overview of Financial Modelling
- Best Practices
- Forecasting Revenue,Expenses And Scenario Analysis
- Working Capital Schedule (Assets & Liabilities)
- Depreciation And Amortization Schedule
- Long-Term Items And Completion Of Income Statements
- Basics Of Valuation
- Valuation Of Companies -DDM
- Discounted Cash Flow Model
- Introduction to Derivatives
- Derivative Products-Equity/Commodity/Currency(Bullion/Base Metal/Energy/Agro Based)
- Types of Margin
- Pricing of Future
- Introduction to Options:Call options
- Introduction to Options:Put Options
- Basics Of Valuation
- Introduction to Clearing and Settlement System
- Option Greek & Implied Volatility
- Synthetic and Option Trading Strategies
- Vertical Spreads
- Horizontal Spreads
- Option Strategies-I
- Option Strategy-II
- Strategies: Continued & Summary
- Accounting for Derivatives and other Financial Instruments -1
- Accounting for Derivatives and other Financial Instruments -2
- What is Foreign Exchange, its need and Administration in India, FEDAI, Forex Business Infrastructure in Banks
- SWIFT, Different types of forex trades, Different Types of Exchange Rates
- Foreign Exchange Arithmetic, Determination of Forex Rates-the factors that affect them
- Introduction to International Markets, LIBOR, Raising Funds
- International Markets, Introduction to Bond Markets
- Types of Bonds in Different Currencies, Basic Types of Derivatives
- Introduction to Algorithmic Trading
- System for Trading or Investing
- Moving Average Crossover and Ratio Analysis (Excel)
- Execution of Algos
- Optimization I and II
- Trading Technology Architecture
- Emerging Trends
- Introduction to Risk Management
- Enterprise Risk Management
- Corporate Governance and Corporate Risk Management
- Risk Management: Review of Quants
- Capital Asset Pricing Model (CAPM)
- Arbitrage and Arbitrage Pricing Theory: Multi Factor Model
- Banking Sector
- Information Risk, Data Quality Management and Risk Reporting
- Role of Exchanges and Central Counterparty in Capital Market Trades (CCPS)
- Interest Rates and Interest Rate Futures
- Derivatives
- Fixed Income Market Valuation
- Foreign Exchange Risk
- Introduction to Debt Markets
- Bond Structure
- Bonds with Options
- Risks in Bonds I
- Risks in Bonds II
- Introduction to Bond Valuation I
- Bond Valuation II
- MBS & ABS
- Valuation of MBS and ABS
- Case Studies
- Introduction to Portfolio Management
- Portfolio Management Models
- Portfolio Manager
- Security Analysis
- Case Studies and Practical Application
Who is this Program
Designed For?
-
Graduates & Final Year Students
Graduates and Final Year students can apply.
-
Recognized Board / University
Students should have completed their education from a recognized Board/University.
-
Working Professionals
Working professionals can also apply.
Why FinX (formerly BSE Institute Ltd.)?
Industry Legacy
FinX Institute Pvt. Ltd.(formerly BSE Institute Ltd.)
Benefit from 30+ years of expertise in global Financial Markets.
Student Success Stories
Discover how the Certificate Program in Investment Banking Operations has transformed the careers of our students.
Frequently Asked Questions
Everything you need to know about the APCM program.
The Advance Program in Capital Market (APCM) is an advanced-level finance and capital markets training program designed to give participants in-depth knowledge of financial markets, instruments, analytics, and tools used by professionals. The curriculum covers topics such as financial markets, technical and fundamental analysis, Excel, derivatives, forex, risk management, and more.
- • A basic academic background in finance, accounting, economics, commerce, or related fields is beneficial
- • Final-year students and fresh graduates can apply
- • Some courses may accept professionals with relevant interest/experience
The standard duration is about 4 months, with structured modules covering multiple facets of capital markets.
Yes - since the course is structured over several months, many learners take it alongside their studies or jobs. Confirm the schedule with the institute before enrolling.
Yes, participants receive a certificate of completion upon successfully completing the program.
A basic understanding of finance or commerce is preferred. Final-year students, graduates, and professionals can apply.
The program helps prepare candidates for roles such as:
- • Financial or Market Analyst
- • Trading and Dealing roles
- • Research and Portfolio support roles
- • Entry-level positions in capital market firms