Build practical expertise in mutual funds, SIP strategies, NAV calculation, portfolio analysis, risk evaluation, and fund accounting operations.
This Mutual Funds Specialization helps learners develop investment-ready and job-relevant skills for modern financial markets.
Through a structured learning path, learners explore mutual fund structures, equity and debt schemes, ETFs, hybrid funds, liquid funds, NAV computation, expense ratios, AUM, taxation, indexation, and systematic investment strategies such as SIP, STP, and SWP. The Specialization also covers portfolio construction, asset allocation, benchmark comparison, risk-adjusted return analysis, and performance evaluation using metrics such as alpha, Sharpe ratio, and standard deviation.
Beyond investment analysis, learners gain practical exposure to mutual fund reconciliation and break resolution workflows, including cash reconciliation, position reconciliation, FX reconciliation, valuation discrepancies, dividend reconciliation, and transaction mismatch resolution.
By completing this Specialization, learners will be able to evaluate mutual fund schemes, analyze portfolio performance, assess risk-return trade-offs, apply systematic investment strategies, interpret NAV and fund metrics, and support fund accounting operations with greater accuracy and confidence.
Applied Learning Project
Learners will complete practical projects focused on mutual fund evaluation, NAV interpretation, SIP planning, portfolio comparison, and reconciliation break analysis. They will apply investment metrics, risk-return frameworks, and fund accounting techniques to assess schemes, resolve discrepancies, and make data-backed financial decisions.




















