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Home > > Postgraduate Certificate in Investment Strategies
Postgraduate Certificate in Investment Strategies
Overview
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Learning outcomes
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Course content
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1Advanced Financial Analysis
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2Portfolio Management Techniques
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3Risk Assessment and Mitigation
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4Behavioral Finance
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5Ethical Investment Practices
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6Advanced Portfolio Management
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7Behavioral Finance
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8Risk Assessment and Management
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9Equity Analysis and Valuation
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10Fixed Income Securities
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11Alternative Investment Strategies
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12Global Markets and Economic Indicators
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13Derivatives and Hedging Techniques
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14Investment Research and Analysis
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15Ethics in Investment Management
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16Portfolio Management
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17Quantitative Methods for Investment Analysis
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18Financial Statement Analysis
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19Econometrics for Finance
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20Derivatives and Risk Management
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21Investment Analysis and Valuation
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22Fixed Income Securities
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23Behavioral Finance
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24Alternative Investments
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25Advanced Corporate Finance
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26Portfolio Management
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27Global Investment Strategies
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28Quantitative Methods in Finance
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29Financial Markets and Institutions
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30Behavioral Finance
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31Risk Management in Investments
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32Derivatives and Alternative Investments
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33Econometrics for Finance
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34Corporate Finance
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35Ethics in Finance
Duration
The programme is available in two duration modes:
Fast track - 1 month
Standard mode - 2 months
Course fee
The fee for the programme is as follows:
Fast track - 1 month: GBP £140
Standard mode - 2 months: GBP £90
Career Path
Key facts
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Why this course
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Frequently asked questions
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