
portfolio management and asset valuation.
What you'll learn
- Equity valuation.
- Bond valuation.
- Derivatives valuation.
- Portfolio management.
- Trading.
- Selecting brokers.
- Currency devaluation prediction.
- Market risk management.
- Interest rate risk management.
- Currency risk management.
- Partially Credit risk management.
- Liquidity risk management.
- Asset allocation.
Requirements
- Basic understanding of financial markets and instruments.
- Computer with Excel and internet connection.
- Desire to implement home assignments.
Description
Dear student,
This course is your salvation, if you are looking for:
- practical guide WITHOUT boring data and complex theory;
- applicable tools for financial instruments valuation (useful excel models with no hand calculation);
- useful tools for finding undervalued assets.
After this course, you WILL BE ABLE TO:
- search for valuable investment ideas tailored for your personal investment policy;
- define and manage financial risks;
- compose a diversified portfolio with useful asset allocation techniques.
With comparatively low payment you will get complete coverage of financial instruments and analysis. Moreover, if i didn't cover your desired topic, you can address it to me directly, through Udemy messaging or reaching directly via my LinkedIn. Welcome and enjoy the course.
Who this course is for:
- Financial analysts.
- Finance students.
- Portfolio managers.
- Treasury managers.
- FX Traders.
- FI Traders.
- MM Traders.
- Bond Traders.
- Interest rate Traders.
- Derivatives Traders.
- Equity Traders.
- CFA candidate.
- Treasury job interview candidate.
- Trader job interview candidate.
- Financial analyst interview candidate.