Content
The key content of the course is:
• An introduction to financial markets and instruments.
• The distinction between real and financial assets.
• The risk-return trade-off and its implications for investors.
• Active versus passive management strategies.
• The roles of equities, fixed-income securities, derivatives, and alternative investments.
• Modern portfolio theory and asset allocation.
Learning objectives
By the end of this course, participants will be equipped to analyze investment opportunities, develop sound financial strategies, and navigate the complexities of global financial markets. Whether you are a novice investor or looking to deepen your expertise, this course lays the groundwork for informed and effective investment practices.
Teaching methods
Course is 100% online (Self-Study) course which can be done in own pace.
Learning material and recommended literature
Online.
Evaluation criteria
The final tests contains ?60 multi-choice questions, and its duration is 150 minutes. All questions are based on course materials.
Minimum passing score for the test is 60%. If not achieved, you need retake the test. The retake limit is 3!
The course is graded Pass/Fail.