Hi Trainees! Welcome back again to our post today’s course revolves around the topics of Free Financial Market risk and managing enterprise.
You will learn to assess risks in the financial markets, apply leadership skills to projects and companies, understand innovative methods for decision-making and long-term thinking, and enhance your understanding of financial markets as a means for making important business decisions
About This Course
This course is an introduction to financial economics, with a focus on the theory and practice of securities, insurance, and banking. You’ll be exposed to the latest research in this field, including financial theory, quantitative finance methods, their applications, risk management, and behavioral finance principles as they relate to the real-world functioning of securities and similar industries. The ultimate goal of this course is to use such industries effectively and towards a better society.” This course is a free course from Coursera, the global leader in Massive Open Online Courses (MOOC).
Who will Teach You
Robert J. Shiller is Sterling Professor of Economics, Department of Economics and Cowles Foundation for Research in Economics, Yale University. He received his B.A. from the University of Michigan in 1967 and his Ph.D. from the Massachusetts Institute of Technology in 1972. He has written on financial markets, financial innovation, behavioral economics, macroeconomics, real estate, statistical methods, and on public attitudes, opinions, and moral judgments regarding markets.
What You Will Learn
This Course Divided into 7 modules
- Module 1
Welcome to the course! In this opening module, you will learn the basics of financial markets, insurance, and CAPM (Capital Asset Pricing Model). This module serves as the foundation of this course.
- Module 2
In this next module, dive into some details of behavioral finance, forecasting, pricing, debt, and inflation.
- Module 3
Stocks, bonds, dividends, shares, market caps; what are these? Who needs them? Why? Module 3 explores these concepts, along with corporation basics and some basic financial markets history.
- Module 4
Take a look into the recent past, exploring recessions, bubbles, the mortgage crisis, and regulation.
- Module 5
Options and bond markets are explored in module 5, important components of financial markets.
- Module 6
In module 6, Professor Shiller introduces investment banking, underwriting processes, brokers, dealers, exchanges, and new innovations in financial markets.
- MODULE 7
Professor Shiller’s final module includes lectures about nonprofits and corporations and your career in finance.
How to Apply
In order to apply for the Free Financial Market Best Course By Coursera|, please Click Here
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