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1)CFA(L2, L3) Training: Equity, Fixed Income, Derivatives, Alt. Investment, Portfolio Management, Credit Ratings, 2)FRM(Financial Risk Management): As per GARP Syllabus. The focus is on Detailed Derivatives Valuation, Market Risk, Credit Risk, Op. Risk, BASEL/DoddFrank/CCAR. 3) Financial Modelling: Level1( Basics of FSA, Ratios Analyses, Key performance metrics, Leverage, External Fund Needed, Capital structure). Level2( Valuation of Equity, Business using FCFF,FCFE,DDM, ResEarnings, Relative Valuation, Rel Option Valuation). 3)QT: Statistical Modeling, Econometrics, Business Mathematics, Operation Research. 4) Machine Learning: ANN, Deep Learning, SVM, Decision tree, Random Forest, Autoencoders, CART, Bayesian Network, etc. M:
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