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In a world where capital markets are evolving at an accelerating pace, a foundational understanding of investment and financing principles has become a professional necessity for anyone aspiring to work in the financial sector. This program offers students and graduates a simplified, practical methodology that builds a solid knowledge base enabling them to understand the investment and financing environment and distinguish between their core concepts. Day One establishes a clear understanding of the difference between investment and financing and the nature of the relationship between them in the context of companies and individuals, introducing basic investment instruments and their connection to economic cycles. It then moves into analyzing the investment environment and understanding the impact of government fiscal and monetary policies on investment volumes and financial and capital markets. Day Two shifts to practical application, with participants learning how to make investment decisions, identifying the types of associated risks, and understanding the risk-return relationship, before reviewing the fundamentals of investing in stocks and mutual funds. The program concludes with a dedicated module on corporate financing basics, reinforced by a comprehensive applied case study.
Banking
Capital Market
Financing
الاستشارات المالية
إدارة المحافظ +5
الاستشارات المالية
إدارة المحافظ
إدارة المحافظ/ الصناديق
علاقات المستثمرين
إعداد التمويل
الخزانة
إدارة المخاطر
Trading and Investment
Not Exist
Lecture
Case Studies +2
Lecture
Case Studies
Brainstroming
Dialogue Teams
Pre Assessment
Post Assessment
Students and Graduates
Students and Graduates
This provides you with the opportunity to select the available times that suit you best for participation in our program. These times represent slots during which we are ready to welcome you and provide assistance and guidance.
Self Learning
Module 1: Fundamental Concepts of Investment and Finance
Module 2: Investment Environment Analysis and Evaluation
Module 3: Investment Management and Decision-Making
Module 4: Principle of Enterprise Financing
Understand the investment and financing environment to improve the management of investment and financing activities.
Analyze the investment environment and identify the impact of government fiscal and monetary policies on investment volumes and financing decisions, and explain the role of financial markets and capital markets in the economic ecosystem.
Identify the types of investment risks , and explain the risk-return relationship as a basis for investment decision-making.
Apply the fundamentals of investment decision-making, and distinguish between investing in stocks and mutual funds in terms of characteristics, risks, and investor suitability.
Identify corporate financing needs and their short-term and long-term types, describe capital structures and how companies choose between debt and equity financing, and define investment and financing planning models.