
Financial Trading and Portfolio Management (Level 1)
This course provides a comprehensive introduction to financial trading and portfolio management, tailored for beginners and intermediate learners. It covers the essentials of financial markets, trading strategies, portfolio construction, and risk management. Through practical exercises and case studies, participants will develop the skills needed to build diversified portfolios and make informed trading decisions.
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Course Duration:
30 hours
Level:
Fundamental to Intermediate
Course Objectives
By the end of this course, participants will:
Understand the structure and function of financial markets and instruments.
Learn and apply key trading strategies and performance metrics.
Develop a diversified investment portfolio based on risk and return objectives.
Understand and apply basic risk management principles in trading.
Gain hands-on experience using financial tools and platforms for portfolio analysis.

Prerequisites
Basic understanding of mathematics and statistics.
Familiarity with spreadsheet tools (e.g., Microsoft Excel).
No prior trading experience required, but an interest in financial markets is beneficial.
