
Course Features
- Lectures 0
- Quizzes 0
- Duration 10 week
- Skill level All levels
- Language English
- Students 0
- Assessments Yes
0 student
OBJECTIVES
To provide expert knowledge on setting financial objectives and goals, managing financial resources, financial risk management, thorough understanding of investment portfolios and financial instruments.
Learning Aims
The syllabus aims to test the student’s ability to :
- Evaluate the role of agents and instruments in financial markets
- Interpret the relevance of financial institutions
- Analyze the degree of risk for its effective management
- Advise on investment opportunities
Skill set required
Requiring skill levels of knowledge, comprehension, application, analysis, synthesis and evaluation
Section A : Investment Decisions (25%)
- Investment Decisions, Project Planning and Control
- Evaluation of Risky Proposals for Investment Decisions
- Leasing Decisions
Section B : Financial Markets and Institutions (20%)
- Institutions in Financial Markets
- Instruments in Financial Markets
- Capital Markets
- Commodity Exchange
Section C : Security Analysis and Portfolio Management (25%)
- Security Analysis & Portfolio Management
Section D : Financial Risk Management (30%)
- Financial Risks & Management
- Financial Derivatives – Instruments for Risk Management
- Financial Risk Management in International Operations
Curriculum is empty
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