Course Contents
This course navigates students through the dynamic world of investments. The course is designed to provide an introduction to the many facets of financial markets and investment strategies. Beginning with a foundational understanding of financial instruments and markets, students will progress to topics like securities valuation, the balance of risk and return, and the theoretical underpinnings of portfolio management.
As the course delves deeper, students will be introduced to critical frameworks like the Capital Asset Pricing Model (CAPM), explore the intricacies of equity and bond valuations, and get a grasp on contemporary concepts such as the Efficient Market Hypothesis and the contrasting viewpoints of Behavioral Finance.
Pairing rigorous academic content with practical application, this course equips students to both understand and participate actively in the investment landscape. By the end of the course, students will have cultivated a robust understanding of investments, equipping them for the dynamic world of finance and portfolio management.
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Lessons Overview
This course aims to provide you with an insight into financial markets, equity and fixed income securities, portfolio theory and investment strategies