Free Download Capital Markets And Economic Indicators Investor’S Guide
Published 10/2024
MP4 | Video: h264, 1920×1080 | Audio: AAC, 44.1 KHz
Language: English | Size: 1.92 GB | Duration: 2h 43m
Unlock the power of capital markets and economic indicators to make smarter investment decisions with this course.
What you’ll learn
Master the Key Components of Capital Markets: Learn the foundational aspects of capital markets, including the economic forces that drive them
Analyze Economic Indicators: Understand how to interpret critical economic indicators like inflation, GDP growth, and interest rates, and learn their impact
Forecast Market Movements: Gain insights into forecasting exchange rates and asset price movements using econometric and economic models
Equity Market Valuation Techniques: Explore methods to assess equity market valuations, such as the Yardeni Model and asset-based approaches
Develop Strategic Asset Allocation: Learn practical tools and strategies for setting capital market expectations (CMEs), and design optimal asset allocation
Understand Emerging Markets: Delve into the unique challenges and opportunities presented by emerging markets, including the role of government policies
By the end of this course, students will be equipped with the tools and knowledge to make informed investment decisions and navigate the complexities
Requirements
Basic Knowledge of Finance and Economics: A foundational understanding of financial concepts, such as asset classes, market structures, and economic principles, will be beneficial.
Familiarity with Investment and Markets: Some prior experience with investing, trading, or working in financial markets will help students grasp the more advanced concepts covered in the course.
Comfort with Basic Math and Statistics: An understanding of mathematical and statistical concepts, such as percentages, ratios, and basic forecasting techniques, will be advantageous for analyzing market data and economic indicators.
Access to a Computer and Internet: Students will need access to a computer with internet connectivity to follow along with course materials, lectures, and any additional resources provided.
Description
Introduction:Welcome to Mastering Capital Markets and Economic Indicators, a comprehensive course designed to provide you with in-depth knowledge of capital markets and the essential tools used to analyze economic growth, inflation, government policies, and equity market valuations. This course will guide you through advanced concepts such as the Taylor Rule, economic forecasting techniques, and asset allocation models, ensuring you are well-prepared to navigate the dynamic world of capital markets.Section 1: Capital MarketsThis section begins with an exploration of the core steps and limitations of Capital Market Expectations (CMEs). You’ll be introduced to the “7 Steps to CME’s” and the “9 Limitation” frameworks, which lay the foundation for setting and understanding expectations in capital markets. The section continues by introducing "5 Tools for Setting CME’s," explaining how they help financial analysts and investors make informed decisions. You will also delve into the effects of economic growth and inflation on asset classes, learn about the Taylor Rule, and examine how government policies can impact capital markets. Finally, you’ll explore emerging markets with “6 Questions for Emerging Markets,” equipping you with a critical approach to evaluating these markets.Section 2: Economic IndicatorsIn this section, you’ll explore the key economic indicators that influence capital markets. Beginning with a detailed look at econometric and economic indicators, you’ll then dive into the “Checklist Approaches” that help in interpreting complex economic data. Additionally, this section covers various “Methods of Forecasting Exchange Rates,” providing you with the tools necessary for currency market analysis. The focus on economic indicators is essential for understanding the macroeconomic environment and its impact on financial markets.Section 3: Equity Market ValuationsThis section focuses on the intricacies of equity market valuations, starting with a broad overview of how these valuations are calculated. You will study the relationship between economic output and equity market changes and review practical examples that show the real-world application of valuation models. As you progress, you’ll learn about the “Yardeni Model” and other asset-based models that are used to evaluate relative market values. The section concludes by delving into asset allocation, exploring how investors can optimize portfolios using various valuation models and economic indicators.Conclusion:By the end of this course, you’ll have a firm understanding of how capital markets operate, the economic indicators that drive them, and the tools and techniques needed to make informed investment decisions. From CME strategies to asset allocation models, this course equips you with the knowledge and skills to succeed in the complex world of capital markets.
Overview
Section 1: Capital Markets
Lecture 1 7 Steps to CME’s
Lecture 2 9 Limitation
Lecture 3 5 Tools for Setting CME’s
Lecture 4 5 Tools for Setting CME’s Continue
Lecture 5 Economic Growth Analysis
Lecture 6 Inflation Effect on Asset Classes
Lecture 7 Taylor Rule
Lecture 8 Government Policies
Lecture 9 6 questions for Emerging Markets
Section 2: Economic Indicators
Lecture 10 Econometric and Economic Indicators
Lecture 11 Checklist Approaches
Lecture 12 Methods of Forecasting Exchange Rates
Section 3: Equity Market Valuations
Lecture 13 Equity Market Valuations
Lecture 14 Change in Economic Output Relationship
Lecture 15 Example of Equity Market Valuations
Lecture 16 Relative Equity Market Valuation
Lecture 17 Yardeni Model in Relative Equity Market Valuation
Lecture 18 Asset Based Models
Lecture 19 Asset Allocation
Lecture 20 Asset Allocation Continues
Finance Professionals: Ideal for those working in finance, investment banking, asset management, and trading, who want to deepen their understanding of market dynamics and valuation techniques.,Investors and Traders: Both novice and experienced investors seeking to enhance their skills in analyzing economic indicators, equity market valuations, and asset allocation strategies.,Students of Finance and Economics: Undergraduate and graduate students looking to supplement their academic knowledge with practical insights into capital markets and economic forecasting.,Business Analysts and Consultants: Professionals involved in market analysis, strategy consulting, or financial advisory who require a better grasp of macroeconomic indicators and market trends.,Anyone Interested in Capital Markets: Anyone with an interest in how global capital markets operate, and those looking to make informed investment decisions based on sound economic principles.
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