Be a Market Expert with LBTC’s Capital Market Courses | the Best Finance Crash Course With the complexities involved in the global business market, it could be compared to a bumpy ride amidst the waves of an ocean, requiring you to be careful, firm and ready for all the challenges. Obviously, one cannot reduce or terminate the risks involved in the capital markets, but certainly can be prepared for these ups and downs by being an expert at projecting the market situation, position of stocks and shares, thereby making informed decisions, and reap the best out of it. LBTC’s finance crash course aims at developing this expertise along with its competitive course content and the best trainers to deliver it. This article talks in brief about the course outline offered at the finance literacy workshop launched by LBTC. Computing the market and making projections isn’t a cakewalk. Seriously! It takes years of experience of having dealt with various situations, ups, and downs, profit and losses for the capital market consultant and the investor to cope up with the uncertainties of the capital market. However, the truth is, these uncertainties and challenges neither deter the investors nor the consultants to step into the market and try making a fortune! Capital markets have always been in vogue since time immemorial. Regardless of the professional background of an individual, anyone can pursue a career as share market consultant, except for the financial acumen that is fundamental as well as imperative. For all those share market aspirants, LBTC offers a finance crash course that focuses on strengthening the conceptual as well as technical understanding associated with the share market. Here’s more to the outline of LBTC’s capital market courses. Capital Market Courses | LBTC’s Financial Literacy Workshop From training on the fundamentals of market, to delving into the details of some of the advanced concepts, LBTC covers a considerable amount of subject-matter in a week’s time. → Introduction: Financial assets and financial markets, along with the overview of risks and risk management. → Fundamentals of Cash and Derivative Markets: Learning primary and secondary markets, introduction to concepts such as linear payoff derivatives (forwards, futures, and swaps), non-linear payoff derivatives (options, caps, floors, and credit default swaps), the concept of securitisation and its role in the financial markets. → Risk and Return Theories: Theories pertaining to asset pricing, portfolio selection, and return distributions and risk measures. → The Market Players: Seeking an overview of the market participants, investment banking firms, collective investment vehicle managers, depository institutions, insurance companies and defined benefit pension plans. → Determining Interest Rate and Debt Pricing: Interest rate term structure, interest rate structure and theory, valuation of debt contracts and their price volatility properties. This course is intended to educate consultants as well as investors who wish to invest in the market. It includes financial regulators, individual investors, institutional investors and SEVEN PANCRAS SQUARE, 7 KING’S BOULEVARD, KINGS CROSS, LONDON N1C 4AG. +44 208 5600 312