INVESTMENT TECHNIQUES AND FINANCIAL MARKETS
Description
The focus of the program lies on understanding how businesses need to interact with the Policymakers and the investors to create a money and capital market. In addition, the course explores theories and models in relation to modern portfolio theory and how to measure returns. The course also explores the efficient market theory and the different forms of this market including the implications and the common problems.
In addition, the course clearly identifies the various components of the stock options and values of options in its different forms. Participants join in activities designed to help develop their own capacity using formulas and discuss how the models can assist them in developing new ideas for a business venture.
Objectives of the Course:
Key concepts of Investment Techniques and Financial Markets is to be able to use the formulas to develop skills in evaluating business stock both for yourself and for other businesses for investments.
The five areas of interest are:
- Portfolio theory,
- Measuring returns,
- Marketing Indexes
- Trading Stocks
- Stock Options.
Learning Outcomes
Upon the successful completion of the module, students will be able to:
- Understand the importance of the financial models
- Demonstrate awareness of how a business interacts on the stock market
- Increased self-knowledge and self-actualization in creative thinking (sensitivity to problems, flexibility, originality, and elaboration).
- Utilize a variety of tools to anticipate stock options.
Content
Date | Topic |
INVESTEMENT TECHNIQUES AND FINANCIAL MARKETS | |
Lesson 1 |
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Lesson 2 |
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Lesson 3 |
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Lesson 4 |
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