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Fundamentals of Financial Mathematics and Capital Budgeting

Fundamentals of Financial Mathematics and Capital Budgeting

Get introduced to the determinants of value, foundations of financial markets, and capital budgeting.

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  • 6
  • الإنجليزية
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Electronic Trading in Financial Markets

Electronic Trading in Financial Markets

Learn about technology’s impact on financial markets and the characteristics of financial instruments that are traded on electronic markets.

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  • 6
  • الإنجليزية
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Bond and Equity Markets and Financial Regulation

Bond and Equity Markets and Financial Regulation

Get introduced to bond and equity markets and the regulations of financial markets.

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Biases and Portfolio Selection

Biases and Portfolio Selection

Investors tend to be their own worst enemies. In this third course, you will learn how to capitalize on understanding behavioral biases and irrational behavior in financial markets. You will start by learning about the various behavioral biases – mistakes that investors make and understand their reasons. You will learn how to recognize your own mistakes as well as others’ and understand how these mistakes can affect investment decisions and financial markets.

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  • 16 ساعات
  • الإنجليزية
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ESG Investing: Financial Decisions in Flux

ESG Investing: Financial Decisions in Flux

As ESG investing continues to evolve towards a global standard, certain initiatives such as the UN’s sustainable development goals, and the Paris Agreement on climate change, have already spurred significant changes across the financial markets. As the title of this specialization suggests, financial decisions by investors, as well as capital deployment by companies, organizations, and governments, have been shifting amid increasing attention to environmental, social, and governance-related concerns. By the end of this specialization, students with basic knowledge of traditional financial pr

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  • الإنجليزية
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Investment and Portfolio Management

Investment and Portfolio Management

In this four-course Specialization, you’ll learn the essential skills of portfolio management and personal investing. All investors – from the largest wealth funds to the smallest individual investors – share common issues in investing: how to meet their liabilities, how to decide where to invest, and how much risk to take on. In this Specialization, you will learn how to think about, discuss, and formulate solutions to these investment questions.

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  • الإنجليزية
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Investment Management

Investment Management

In this Specialization, you will understand how investment strategies are designed to reach financial goals in a global context. You will learn the theory that underlies strong investment decisions, as well as practical, real-world skills that you can apply when discussing investment proposals with your advisor, managing your personal assets or your client’s investment portfolio. You will start by developing a global understanding of financial markets and what impacts rational and irrational behaviors have in finance at the micro and macro levels.

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  • الإنجليزية
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Machine Learning for Trading

Machine Learning for Trading

This 3-course Specialization from Google Cloud and New York Institute of Finance (NYIF) is for finance professionals, including but not limited to hedge fund traders, analysts, day traders, those involved in investment management or portfolio management, and anyone interested in gaining greater knowledge of how to construct effective trading strategies using Machine Learning (ML) and Python. Alternatively, this program can be for Machine Learning professionals who seek to apply their craft to quantitative trading strategies.

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  • الإنجليزية
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Justice Today: Money, Markets, and Morals

Justice Today: Money, Markets, and Morals

Explore the ethical controversies of financial markets.

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  • 12
  • الإنجليزية
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Python and Machine-Learning for Asset Management with Alternative Data Sets

Python and Machine-Learning for Asset Management with Alternative Data Sets

Over-utilization of market and accounting data over the last few decades has led to portfolio crowding, mediocre performance and systemic risks, incentivizing financial institutions which are looking for an edge to quickly adopt alternative data as a substitute to traditional data. This course introduces the core concepts around alternative data, the most recent research in this area, as well as practical portfolio examples and actual applications.

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  • 21 ساعات
  • الإنجليزية
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Construct Stock Market Indices

Construct Stock Market Indices

In this 1-hour long project-based course, you will learn how to use Google Finance to import stock price data, identify the free float of the stock, use free-floated weighting to construct an index. Note: This course works best for learners who are based in the North America region. We're currently working on providing the same experience in other regions. This course's content is not intended to be investment advice and does not constitute an offer to perform any operations in the regulated or unregulated financial market.

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  • Self Paced
  • 2 ساعات
  • الإنجليزية
الاشتراك الشهري
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Monetary Policy in the Asia Pacific

Monetary Policy in the Asia Pacific

Watch the introduction video to the course here: https://youtu.be/U7dQzqtIFVg The Asia-Pacific region contains some of world’s most dynamic economies. Economies around the globe rely on credible monetary policy implemented by central banking institutions. Monetary policy governs the liquidity available to the payment systems that underlie trade and finance. Smooth adjustment of liquidity can minimize instability in money and foreign exchange markets and keep inflation and growth on a secure footing.

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  • 9 ساعات
  • الإنجليزية
الاشتراك الشهري
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Portfolio Diversification using Correlation Matrix

Portfolio Diversification using Correlation Matrix

By the end of the project, you will be able to apply correlation matrix in portfolio diversification. ATTENTION: To take this course, it is required that you are familiar basic financial risk management concepts. You can gain them by taking the guided project Compare Stock Returns with Google Sheets. Note: This course works best for learners who are based in the North America region.

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  • 2 ساعات
  • الإنجليزية
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Company Reports: Understanding Form 10-K

Company Reports: Understanding Form 10-K

In this 1-hour long project-based course, you will learn how to read and interpret the main financial statements and access company performance data through SEC filings. We well be working of the Form 10-K of Apple Inc., and will see the Apple Inc.'s financial performance for 2019. Being able to read and interpret Form 10-K is an essential skill for any financial or equity research analyst.
Note: This course works best for learners who are based in the North America region. We're currently working on providing the same experience in other regions.

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  • 3 ساعات
  • الإنجليزية
الاشتراك الشهري
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The Econometrics of Time Series Data

The Econometrics of Time Series Data

In this course, you will look at models and approaches that are designed to deal with challenges raised by time series data. The discussion covers the motivation for the use of particular models and the description of the characteristics of time series data, with a special attention raised to the potential memory. You will: – Discuss time series models, that refer to data that have been collected over a period on one or more variables for the same individual.

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  • 31 ساعات
  • الإنجليزية
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Measuring Stock Liquidity

Measuring Stock Liquidity

In this 1-hour long project-based course, you will learn how to use Average Daily Traded Volume and Share Turnover to measure liquidity, use Depth of Market (DOM) and Bid-Ask Spread to compare liquidity, and use Variance Ratio to quantify liquidity.
Note: This course works best for learners who are based in the North America region. We're currently working on providing the same experience in other regions.
This course's content is not intended to be investment advice and does not constitute an offer to perform any operations in the regulated or unregulated financial market.

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  • Self Paced
  • 2 ساعات
  • الإنجليزية
الاشتراك الشهري
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Building Candlestick Charts with Tableau

Building Candlestick Charts with Tableau

In this 1-hour long project-based course, you will learn how to use Python YFinance to extract stock price data and how to use Tableau to build a japanese candlestick chart.
Note: This course works best for learners who are based in the North America region. We're currently working on providing the same experience in other regions.
This course's content is not intended to be investment advice and does not constitute an offer to perform any operations in the regulated or unregulated financial market

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  • Self Paced
  • 2 ساعات
  • الإنجليزية
الاشتراك الشهري
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  • الباقة الإبتدائية @ AED 99 + VAT
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  • Free
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Investment Management in an Evolving and Volatile World by HEC Paris and AXA Investment Managers

Investment Management in an Evolving and Volatile World by HEC Paris and AXA Investment Managers

Have you ever wanted to invest in financial markets, but were always afraid that you didn’t have the proper tools or knowledge to make informed decisions? Have you ever wondered how investment management companies operate and what fund managers do? AXA Investment Managers, in partnership with HEC Paris, will introduce you to the most important ideas and concepts in investment management, to help you better understand your financial future. This course will enable you to: • Define what type of investor you are, your investment objectives, and potential constraints.

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  • 18 ساعات
  • الإنجليزية
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Stock Valuation with Dividend Discount Model

Stock Valuation with Dividend Discount Model

In this 1-hour long project-based course, you will learn how to find dividend growth rate and cost of equity, and use that to find the fair price of a share. This will teach you how to value stocks using Dividend Discount Model (DDM) - one of the most common methods equity research analysts use to value stocks. Note: This course works best for learners who are based in the North America region.

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  • 3 ساعات
  • الإنجليزية
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Introduction to Trading, Machine Learning & GCP

Introduction to Trading, Machine Learning & GCP

In this course, you’ll learn about the fundamentals of trading, including the concept of trend, returns, stop-loss, and volatility. You will learn how to identify the profit source and structure of basic quantitative trading strategies. This course will help you gauge how well the model generalizes its learning, explain the differences between regression and forecasting, and identify the steps needed to create development and implementation backtesters. By the end of the course, you will be able to use Google Cloud Platform to build basic machine learning models in Jupyter Notebooks.

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  • 10 ساعات
  • الإنجليزية
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Investment Strategies and Portfolio Analysis

Investment Strategies and Portfolio Analysis

In this course, you will learn about latest investment strategies and performance evaluation. You will start by learning portfolio performance measures and discuss best practices in portfolio performance evaluation. You will explore different evaluation techniques such as style analysis and attribution analysis and apply them to evaluate different investment strategies. Special emphasis will be given to recent financial market innovations and current investment trends.

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  • 15 ساعات
  • الإنجليزية
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  • AED 274.99 + VAT
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Global Financial Markets and Instruments

Global Financial Markets and Instruments

Get a running start in the high-stakes world of financial investment! This first course is designed to help you become an informed investor by providing you with the essential concepts for long-term success in managing money. You’ll start by learning the role of financial markets and financial assets in a well-functioning economy. From there, you’ll learn about the wide range of financial instruments available in major asset classes, their features and valuations.

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  • 20 ساعات
  • الإنجليزية
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  • AED 274.99 + VAT
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Understanding Financial Markets

Understanding Financial Markets

In this course, you will learn what the main financial markets and their characteristics are as well as how they are linked to the economy. Our very diversified team of experts will start by teaching you how the price of stocks and bonds are computed and why they move while you will become increasingly aware of the notion of risk and why it matters when measuring an investment's performance. The focus will then move to less popular markets such as gold, emerging markets, real estate, hedge funds and private markets.

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  • 11 ساعات
  • الإنجليزية
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  • AED 274.99 + VAT
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