PhD in Finance: Research, Eligibility & Career Scope

A PhD in Finance offers advanced research opportunities in banking, investments, and economics, shaping future financial leaders.

Eligibility

To pursue a PhD in Finance, candidates need a master’s degree with 55% marks and must clear exams like UGC-NET, GATE, or similar.

Research Areas

Research in a PhD in Finance covers corporate finance, risk management, fintech, global markets, and sustainable financial systems.

Career Scope

A PhD in Finance opens careers as financial analysts, professors, consultants, policy advisors, and researchers across industries.

If you’re planning to build your career with a PhD in Finance, complete your journey with expert mentorship, research-driven learning, and global opportunities.