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Certificate in Financial Markets

Indian : Rs.10620
International : $198
INTRODUCTION

The programme is intended to provide ‘breadth of knowledge’ to make it relevant to people pursuing careers in the front office, middle office and operations areas.

OBJECTIVE
  • Gain an overview on financial markets industry, structures and treasury operations
  • Learn about foreign exchange, interest rates, bonds, equity, commodity and derivatives
  • Know the key features, calculation methodologies and applications of financial markets instruments
  • Understand the different types of risks
  • Be aware of financial markets code of conduct and work practices
POTENTIAL CAREER
  • Insurance
  • accounting
  • IT firms 
CONTENT

Financial Economics

  • Net Present Value File
  • How to Value Bonds and Stocks File
  • Some alternative investment rules File
  • Capital market theory: an overview File
  • Risky asset

Introduction to Economics

  • Scarcity and Choice
  • Production Possibilities Frontier
  • A Tour of the Economy
  • Supply and Demand Book
  • Price Controls
  • Health Care
  • Financial Markets Page
  • Gross Domestic Product
  • Unemployment and Inflation
  • Aggregate Demand and Aggregate Supply
  • Fiscal Policy
  • Money and Monetary Policy Book
  • Social Security
  • Costs & Profits
  • Trade
  • Externalities and Market Failure
  • Special Topics

Introduction to Probability & Statistics

  • Random Variables and Expectation
  • Densities and distributions
  • Independence
  • Conditioning
  • Special probability distributions
  • Sampling and sampling distributions
  • Summarizing sample data
  • Point Estimation
  • Hypothesis Testing

Introduction to Macroeconomics

  • Introduction to Economics
  • National Income Accounting
  • Unemployment and Inflation
  • Aggregate Supply & Aggregate Demand
  • Classical and Keynesian Models
  • Equilibrium in the Keynesian Model
  • Fiscal Policy
  • Economic Growth
  • Money and Banking
  • Multiple Expansion of Money
  • Federal Reserve and Monetary Policy
  • Economic Stability and Policy
CONTENT MODE

PDF, moodle books

REQUIREMENTS

The programme does not assume any prior study or work experience other than a general knowledge of mathematics such as basic algebra and statistics.

WHAT AM I ABLE TO GET OUT OF THIS COURSE

Attending the course will help you understand:

  • The key players in the financial markets (issuers, investors and intermediaries)
  • The structure of the FX market
  • The key features of equity products
  • The interaction between cash and derivative markets
ADDITIONAL SUPPORT

Additional reading will be given to students.

Frequently Asked Questions
What is the level of this course?
This is an undergraduate course.

Will I get any credit from this course?
You will get 60 credits.

Is there any assessment for this course? 
Yes. Each module has one or more assessments that you have to pass in order to get your certificate.

Is there a thesis/project in this  course?
Yes.

What is the duration of this  course?
6 months for full time students and 1 year for part time students.

What is the study mode of this course?

Full time or Part time.

What is the delivery mode of this course?

Fully online.

When can I start this course?

Anytime.

Can I finish this program earlier?

No.

Can I contact the professor in this course?

Yes, through the platform.

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