The first chapter of Level 1 will familiarize you with the most successful practices and strategies to handle your investments during times of crisis, such as the current period we are in.
Special attention is devoted to techniques such as portfolio diversification and debt minimization. Chapter 1 also casts light on the fundamental concepts in the field of finance - risk and return.
Chapter 1 further discusses the main types of risk – systematic and non-systematic risk, as well as their sub-types - market risk, liquidity risk, interest rate risk, default risk, business risk, geopolitical risk and many more.
This video presents only a brief overview of the chapter. For more detailed information, please read our manuals.
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