Content
1 module
Instructor
Learner Experience
Description
In week 6 we will cover Market Information and Research, Influencing Factors, Securities and Derivatives Market, Portfolio Risk, Mitigating Portfolio Risk, Key Approaches to Investment Allocation, Cash, Bond and Equity Portfolio Management and Evaluation of Portfolio Risk and Return.
Objectives
By the end of week 6 you will understand;
- Market Information and Research
- Influencing Factors
- Securities and Derivatives Market
- Portfolio Risk
- Mitigating Portfolio Risk
- Key Approaches to Investment Allocation
- Cash, Bond and Equity Portfolio Management
- Evaluation of Portfolio Risk and Return
Certificate
By completing/passing this course, you will attain the certificate (8 hours CPD) - Exam Support Accredited CPD Certificate
Learning credits
Core CPD
8.0
1.
Module 6 - Study Guide
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