Financial Maths Bootcamp - The basics of financial analysis
Finance fundamentals. Maths techniques for understanding financial markets. Analysts/ bankers/investors- it starts here
4.55 (87 reviews)

767
students
4 hours
content
May 2023
last update
$19.99
regular price
Why take this course?
🧮 Financial Maths Bootcamp: Master the Basics of Financial Analysis
🚀 Course Headline: Finance Fundamentals: Maths Techniques for Understanding Financial Markets
👨🏫 Instructor: FinancialVision Abdulla Javeri
🎉 What You'll Learn:
- 💸 Financial Markets Maths Made Simple: Discover how to navigate financial markets with confidence by understanding the essential maths concepts.
- 📊 Data Collection & Analysis: Learn to collect, organize, and analyze data effectively to evaluate assets and their associated risks.
- 🚀 Decision Making: Apply your new financial analysis skills not just in your professional life but also to make informed decisions in various aspects of your personal life.
- 🔄 Universal Financial Techniques: Whether you're in sales and trading, asset management, risk assessment, personal investing, or corporate finance, the maths techniques covered are common across all areas.
🔥 Why It's Important:
- 🤯 Myth Busting: Contrary to popular belief, the maths you need for financial success is not as intimidating as it seems!
- ⏱ Efficient Learning: Complete your financial analysis education in just 4.50 hours with our concise and focused 8-module course.
- 📈 Real-World Applications: With clear examples, real-world spreadsheets, and practical applications, you'll see how these concepts come to life.
📝 Course Breakdown:
- Interest Rates Explained (Module 1): Get to grips with the different types of interest rates and understand the conventions used in financial communications.
- Calculating Returns (Module 2): Master various methods to calculate investment returns on different time frames and bases.
- Time Value of Money (Module 3): Grasp one of the most critical concepts in finance and learn how it underpins investment decisions and market dynamics.
- Measures of Central Tendency & Dispersion (Module 4): Refresh your statistics knowledge with a focus on mean, mode, median, range, and standard deviation.
- Probability Distributions (Module 5): Learn to quantify the probabilities of financial outcomes using normal and lognormal distributions.
- Volatility & Risk (Module 6): Understand what volatility means for risk assessment and how it relates to your investment strategies.
- Moving Averages (Module 7): Identify trends and make more informed trading decisions using simple and exponentially weighted moving averages.
- Relationships Between Assets (Module 8): Explore the relationships between assets through covariance, correlation, regression, and beta to build better portfolios and develop effective trading strategies.
🚀 Who Is This Course For?
- Aspiring and seasoned financial analysts, investors, and traders who want to solidify their understanding of financial analysis with a strong mathematical foundation.
- Individuals seeking to advance their careers in finance, economics, or related fields.
- Those looking to make more informed decisions regarding personal finances and investment strategies.
📅 Get Started Today!
Embark on your journey to becoming a financial maths guru with FinancialVision Abdulla Javeri's Financial Maths Bootcamp. Dive into the world of finance, analytics, and decision-making with confidence and clarity. 🌟
Enroll now and unlock the door to financial literacy and success! 💼💰
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4475532
udemy ID
04/01/2022
course created date
14/01/2022
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