Equity Market Academy
Print This Post
Subscribe to Newsletter
Equity Market professionals remain in high demand to help financial institutions originate, structure and execute transactions for their clients or for their own trading book. Accounting, Legal, IT and Risk Management professionals whose jobs interface with equity markets also continue to be relevant in helping to manage and scale the equities business line.
While knowledge and experience in traditional equity securities remains a core skillset, equity market professionals must also develop new skills and knowledge in increasingly complex equity derivatives and structured equity products to remain relevant in the fast-paced and evolving equity markets.
The Finance 3.0 Equity Markets program contains a library of 10 courses designed to help you learn the fundamentals of equity markets. The complete scope of strategic, operational and technical knowledge required of a job in equity markets are covered.
Starting with an overview of the global equity markets, we go on to cover equity valuation models and techniques, including a detailed walkthrough of the Capital Asset Pricing Model (CAPM). The program will then examine equity derivatives, structured products and portfolio management strategies in detail, to provide a comprehensive overview of all equity investment options.
The 10 courses covered in the Finance 3.0 Equity Markets program are:
- Global Equity Markets
- Equity Valuation Models – I
- Equity Valuation Models – II
- Stock Index Futures
- Equity Swaps
- Equity Options
- Convertibles
- Warrants
- Portfolio Management
- Equity Structured Products
Enrollment into the Finance 3.0 Equity Markets program also provides you with access to a database of Measurement Tools and Disclosures, to ensure a comprehensive array of equity market valuation and analysis tools at your fingertips always.
Business & Financial News, Analysis and Commentary
- Asian shares lifted by US jobs data
- Europe’s banks face challenge on capital
- Greece takes step closer to default
- Record global sales of junk bonds
- UK looks to bridge regulatory divide with US
- Asian Stocks Advance as US Jobs Data Boosts Economic Optimism - BusinessWeek
- IMF Cuts China 2012 Economic Growth Forecast To 8.25% - Fox Business
- Foreclosure Deal Deadline Arrives as States Consider Releases - Bloomberg
- Stocks: Let The Good Times Roll? - KITV Honolulu
- China bans its airlines from paying EU carbon tax - The Guardian
- Three Types of People to Fire Immediately
- Cafe Spice's Indian Food Ambition
- Just How Risky Is Entrepreneurship, Really?
- For Some U.S. Manufacturers, Time to Head Home
- Making the World's Largest Airline Fly

- Brent Wheeler is a financial economist from Dunedin, New Zealand.
- His background intersects at Economics Analysis, Capital Markets & Valuation.

- 150 Financial Excel spreadsheets in a single, downloadable package.
- Financial Risk analysis, Profit Margin analysis, Advanced Cash Flow and Cash Burn forecasting.

- Sacha Singh is an investment banker from Mumbai, India.
- He consults on Financial Services and teaches Corporate Finance & Valuation in universities.
- Online tutorial in Financial Modeling, Forecasting and Simulation.
- Master the use of Microsoft Excel keyboard shortcuts, Spreadsheet Risk Management.
- Minimize the Risk of Spreadsheet Errors and Mistakes.
- Review and Audit Complex Spreadsheets.
- Best practices, Case Studies and Financial Model Excel Templates.
- Robert Hacker runs a corporate finance advisory boutique in Miami, USA.
- His expertise blends Strategic Counsel, Business Consulting and Capital Raising.
