وب سایت تخصصی شرکت فرین
دسته بندی دوره ها
1

The Complete Investor Bootcamp

سرفصل های دوره

The Key to Successful, Profitable, and Sustainable Future? Investing. (Learn How to Make Money in the Stock Market)


1 - What Does the Course Cover
  • 1 - Corporate Finance Formulas.txt
  • 1 - Equity Investments Formulas.txt
  • 1 - Portfolio Management Formulas.txt
  • 1 - What Does the Course Cover
  • 2 - How to Calculate Fair Value In Just 4 Minutes

  • 2 - Practical Concepts
  • 3 - Introduction
  • 4 - A Guide to Yahoo Finance Part 1
  • 5 - A Guide to Yahoo Finance Part 2
  • 6 - AAPL-Daily-returns-01.07.2018-01.07.2020-Formatted.xlsx
  • 6 - AAPL-Daily-returns-01.07.2018-01.07.2020-Unformatted.csv
  • 6 - How to Download Historical Price Data in Excel Yahoo Finance
  • 7 - How to Download Historical Price Data in Excel Google Finance
  • 8 - Formatted-spreadsheet.xlsx
  • 8 - Formatting a Spreadsheet
  • 9 - Annual-10-K-Report-Apple-2019.pdf
  • 9 - Annual-10-K-Report-Apple-2019.xls
  • 9 - Financial-Report-Apple-10-K-SEC.xlsx
  • 9 - How to Download Financials
  • 10 - Stock vs Index Fund Investing
  • 11 - The Most Popular Stock Indexes and Their Composition

  • 3 - Finance Fundamentals
  • 12 - How to Calculate Rates of Return
  • 13 - AAPL-Average-Rates-of-Return.xlsx
  • 13 - How to Calculate Rates of Return Excel
  • 14 - Mean Variance and Covariance of Asset Returns
  • 14 - ORCL.xlsx
  • 15 - Variance and Standard Deviation of Returns Excel
  • 16 - Covariance and Correlation Between Two Stocks Excel
  • 16 - Covariance-and-Correlation.xlsx
  • 17 - Portfolio Risk and Return
  • 18 - Portfolio Risk and Return Excel
  • 18 - Portfolio-Risk-and-Return.xlsx
  • 19 - Risk Aversion
  • 20 - Risk Aversion Implications
  • 21 - Risk Aversion Practice questions.html
  • 21 - Risk-Aversion-Implications.pdf
  • 22 - Risk Aversion Practice questionsAnswers with explanations.html
  • 22 - Risk-Aversion-Implications-answers-with-explanations.pdf

  • 4 - Interaction Between Assets
  • 1 - Portfolio Risk and Return part 1.html
  • 23 - Major Asset Classes
  • 24 - Historical vs Expected Returns
  • 25 - The Correlation Coefficient
  • 26 - Investment Opportunity Set
  • 27 - MinimumVariance Frontier
  • 28 - Efficient-Frontier.xlsx
  • 28 - MinimumVariance Frontier Excel
  • 29 - Capital Allocation Line
  • 30 - Optimal Risky Portfolio Excel
  • 30 - Optimal-Risky-Portfolio.xlsx
  • 31 - Capital Allocation Line Excel
  • 31 - Capital-Allocation-Line.xlsx
  • 32 - Optimal Investor Portfolio

  • 5 - Portfolio Risk and Return
  • 33 - Twofund Separation Theorem
  • 34 - CAL vs CML
  • 35 - Systematic vs Unsystematic Risk
  • 36 - Returngenerating Models
  • 37 - Calculate and Interpret Beta
  • 38 - Regression analysis
  • 39 - Calculate-Beta-3-different-methods.xlsx
  • 39 - How to Calculate Beta in Excel
  • 40 - Capital Asset Pricing Model CAPM
  • 41 - Security Market Line SML
  • 42 - Expected Return CAPM
  • 43 - CAPM Applications
  • 44 - Sharpe Ratio and M2 Ratio
  • 45 - Treynor Ratio and Jensens Alpha
  • 46 - Performance Measures Example

  • 6 - Overview of Equity Securities
  • 47 - Equity Securities Characteristics
  • 48 - Voting Rights
  • 49 - Private vs Public Equity
  • 50 - Nondomestic Stocks
  • 51 - Equity Risk and Return
  • 52 - The Role of Equity in Company Financing
  • 53 - Market vs Book Value of Equity
  • 54 - Return on Equity
  • 55 - Cost of Equity

  • 7 - Introduction to Industry and Company Analysis
  • 56 - Industry Analysis
  • 57 - Industry Classification Systems
  • 58 - Commercial Industry Classification Systems
  • 58 - Global-Industry-Classification-Standard.pdf
  • 59 - 2017-NAICS-Manual.pdf
  • 59 - Governmental Industry Classification Systems
  • 60 - Cyclical vs Noncyclical Firms
  • 61 - Peer Group Analysis
  • 62 - Industry Analysis Elements
  • 63 - Strategic Analysis Principles
  • 64 - Barriers to Entry
  • 65 - Industry Concentration
  • 66 - Industry Capacity
  • 67 - Industry Lifecycle Model
  • 68 - Representative Industries Characteristics
  • 69 - Industry Growth Profitability and Risk External Influences
  • 70 - Company Analysis Elements
  • 71 - Practice Questions.html
  • 71 - Practice-questions-Intoduction-to-Industry-and-Company-Analysis.pdf
  • 72 - Practice Questions Answers and Explanations.html
  • 72 - Practice-questions-answers-with-explanations-NS.pdf

  • 8 - Market Organization and Structure
  • 73 - Financial System Functions
  • 74 - Financial System Purposes
  • 75 - Equilibrium Interest Rate
  • 76 - Asset Classification
  • 77 - Security Types
  • 78 - Pooled Investment Vehicles
  • 79 - Currencies
  • 80 - Derivative Contracts
  • 81 - Real Assets
  • 82 - Financial Intermediaries
  • 83 - Dealers
  • 84 - Depository Institutions
  • 85 - Insurance Companies
  • 86 - Arbitrageurs
  • 87 - Clearinghouses and Custodians
  • 88 - Long and Short Position
  • 89 - Short Position
  • 90 - Leveraged Position
  • 91 - Leverage Ratio
  • 92 - Margin Call
  • 93 - Trade Order
  • 94 - Execution Instructions
  • 95 - Validity Instructions
  • 96 - Clearing Instructions
  • 97 - Primary vs Secondary Market
  • 98 - Initial Public Offering IPO
  • 99 - Other Primary Market Transactions
  • 100 - Secondary Market Structures
  • 101 - Execution Mechanisms
  • 102 - Market Information Systems
  • 103 - Characteristics of a Wellfunctioning Financial System
  • 104 - Market Regulation
  • 105 - Practice Questions.html
  • 105 - Practice-questions.pdf
  • 106 - 44-zzz-Practice-questions-answers-and-explanations.pdf
  • 106 - Practice questions answers and explanations.html

  • 9 - Security Market Indexes
  • 107 - Security Market Index
  • 108 - Price and Total Return
  • 109 - Singleperiod Total Return
  • 110 - Index Value Multiple Time Periods
  • 111 - Index Construction and Management
  • 112 - Index Weighting
  • 113 - Equal Weighting
  • 114 - Marketcapitalization Weighting
  • 115 - Floatadjusted Marketcapitalization Weighting
  • 116 - Fundamental Weighting
  • 117 - Priceweighted Index Value and Return in Excel
  • 118 - Marketcapitalizationweighted Index Value and Return in Excel
  • 119 - Equalweighted Index Value and Return in Excel
  • 120 - Index returns Excel.html
  • 120 - Index-returns.xlsx
  • 121 - Index Rebalancing
  • 122 - Market Indexes Applications
  • 123 - Equity Index Types
  • 124 - FixedIncome Index Types
  • 125 - Alternative Investment Index Types
  • 126 - Security Market Indexes Comparison
  • 127 - Practice Questions.html
  • 127 - Practice-questions.pdf
  • 128 - Practice Questions with Answers.html
  • 128 - Practice-questions-answers-with-explanations.pdf

  • 10 - Market Efficiency
  • 129 - Market Efficiency
  • 130 - Market vs Intrinsic Value
  • 131 - Market Efficiency Factors
  • 133 - Market Efficiency Forms Implications
  • 134 - Market Anomalies
  • 135 - Market Anomalies Types
  • 136 - Momentum and Overreaction Anomalies
  • 137 - CrossSectional Anomalies
  • 138 - Other Market Anomalies
  • 139 - Behavioral Finance

  • 11 - Technical Analysis
  • 140 - Technical Analysis Principles Applications Assumptions
  • 141 - Charts Used in Technical Analysis
  • 142 - Other Tools Used in Technical Analysis
  • 143 - Trend Support and Resistance Lines
  • 144 - Common Chart Patterns
  • 145 - Price Indicators
  • 146 - Momentum Oscillators
  • 147 - Nonprice Based Indicators
  • 148 - Technical Analysis Cycles
  • 149 - Intermarket Analysis

  • 12 - Portfolio Management An Overview
  • 150 - Portfolio Approach
  • 151 - Portfolio Management Process
  • 152 - Types of Investors
  • 153 - DB and DC plans
  • 154 - The Asset Management Industry
  • 155 - Closed-end-vs.Open-end-Mutual-funds-Advantages-and-Disadvantages.pdf
  • 155 - Lifecycle-Fund-Example.pdf
  • 155 - Mutual Funds
  • 155 - Mutual-Fund-Def-Careers.pdf
  • 155 - Mutual-Fund-Types.pdf
  • 156 - SMAs and ETFs
  • 157 - Hedge Funds
  • 157 - Main-Hedge-Fund-Strategies.pdf
  • 158 - Private Equity
  • 159 - Practice Questions.html
  • 159 - Practice-questions.pdf
  • 160 - Practice Questions with Answers.html
  • 160 - Practice-questions-Answers-and-explanations.pdf

  • 13 - Equity Valuation Concepts and Tools
  • 161 - Market vs Intrinsic Value
  • 162 - Equity Valuation Models Categories
  • 163 - Dividend Payments
  • 164 - Dividend Payment Chronology
  • 165 - Dividend Discount Model DDM
  • 166 - Freecashflowtoequity Model
  • 167 - Required Rate of Return Common Equity
  • 168 - Fundamental Value of Preferred Stock
  • 169 - Gordon Growth Model
  • 170 - Multistage Dividend Discount Model
  • 171 - Present Value ModelsOverview
  • 172 - Multiplier Model
  • 173 - Common Price Multiples
  • 174 - Price Multiples Based on Fundamentals
  • 175 - Price Multiples Based on Comparables
  • 176 - Enterprise Value Multiples
  • 177 - Assetbased Valuation Model
  • 178 - Equity Valuation ModelsStrengths and Weaknesses
  • 179 - Practice questions.html
  • 179 - Practice-Questions.pdf
  • 180 - Practice Questions with Answers.html
  • 180 - Practice-Questions-Answers-and-explanations.pdf
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    تاریخ انتشار: ۲۸ دی ۱۴۰۳
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