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Debt & Equity Markets
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Overview
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Course Overview:
The “Equity and Debt Capital Markets” course is designed to provide a comprehensive understanding of the mechanisms, instruments, and strategies involved in capital markets. The course will cover both equity and debt markets, offering insights into how companies raise capital, how securities are traded, and how market participants analyze and manage investments. Students will gain practical knowledge of financial instruments such as stocks, bonds, debentures, and structured products. The course will also delve into the roles of origination teams, the issuance process, and the differences between primary and secondary markets.
Course Objectives:
By the end of this course, students will be able to:
- Understand the Fundamentals of Capital Markets:
- Explain the roles and significance of equity and debt capital markets in the global financial system.
- Differentiate between primary and secondary markets and their functions.
- Analyze Financial Instruments:
- Identify and describe various types of equity instruments, including common and preferred stocks.
- Identify and describe various types of debt instruments, including bonds, notes, and debentures.
- Understand the characteristics and uses of structured products and hybrid securities.
- Evaluate Financial Statements and Company Performance:
- Analyze financial statements to assess a company’s financial health and market position.
- Use financial ratios and other metrics to evaluate company performance.
- Apply Technical Analysis Techniques:
- Interpret chart patterns and technical indicators such as RSI and moving averages.
- Utilize technical analysis tools for practical investment decision-making.
- Conduct Valuation of Securities:
- Perform relative valuation using comparable company analysis and precedent transactions.
- Conduct intrinsic valuation using Discounted Cash Flow (DCF) analysis and other methods.
- Develop and Implement Investment Strategies:
- Differentiate between short-term trading and long-term buy-and-hold strategies.
- Identify and evaluate growth and value investment opportunities.
- Formulate income and capital preservation strategies using high-yield investments and risk management techniques.
- Understand the Debt Issuance Process:
- Describe the steps involved in issuing bonds and other debt instruments.
- Understand the roles of investment banks, credit rating agencies, and syndicates in the issuance process.
- Explore Roles and Responsibilities in DCM:
- Understand the detailed roles and day-to-day activities of analysts, associates, vice presidents, and managing directors in Debt Capital Markets.
- Recognize the importance of client relationships and transaction management in DCM.
- Measure and Interpret Investment Performance:
- Calculate and interpret key performance metrics such as alpha, Sharpe ratio, and information ratio.
- Apply these metrics to evaluate and improve investment portfolios.
- Prepare for a Career in Capital Markets:
- Gain practical knowledge and skills necessary for careers in capital markets, including investment banking, asset management, and financial analysis.
- Develop professional competencies in market analysis, client advisory, and transaction execution.
This course is ideal for finance students, aspiring financial analysts, investment bankers, and anyone interested in gaining a thorough understanding of capital markets and the various instruments and strategies used in equity and debt financing.
39 €
Course level: All levels
Duration: 10 weeks
29 lessons
1 quiz
Language: English
Assessments: Yes
0 student
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Last Update: 19 July 2024
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