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The Complete Investor Bootcamp 2022 - AD-TEAM - 08-14-2024 The Complete Investor Bootcamp 2022 Last updated 12/2021 MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz Language: English | Size: 3.55 GB | Duration: 12h 26m The Key to Successful, Profitable, and Sustainable Future? Investing. (Learn How to Make Money in the Stock Market)
What you'll learn How to read a company's summary page on Yahoo Finance Download historical stock prices Calculate rates of return and volatility measures Compare the risk and return profiles of different securities Calculate risk and return of a portfolio of stocks Understand the concepts of correlation and diversification Build the efficient frontier in Excel/Google Sheets Discover how to download a company's annual 10-K report and how to read it Understand the Modern Portfolio Theory and use the Capital asset pricing model to determine expected return on equity in stock valuation models Calculate the Sharpe and Treynor ratios, as well as indicators like M2 and Jensen's alpha You will also master fundamental valuation concepts such as fair and market value Distinguish between public and private equity securities Compare the market and book value of equities Calculate the intrinsic value of a stock using the Dividend discount model Explain why we use price multiples to value equity securities Perform industry analysis Use the industry life cycle model Define primary and secondary markets We will also calculate and interpret the value, price, and total return of an index Contrast the different weighting methods used in index construction Summarize the factors that affect market efficiency Characterize behavioral finance and its relevance to understanding market anomalies Review the principles of technical analysis Examine common chart patterns Requirements No prior knowledge is required A spreadsheet tool: Microsoft Excel (any version) or Google Sheets Description What are your financial goals?Do you want to supplement your traditional income?Are you planning for an early retirement?And ultimately, do you strive for financial freedom?On the way to achieving financial success, there are very few things that are as important as an in-depth understanding of where and how to invest.Don't leave your cash sitting in the bank just because the stock market feels too sophisticated.Whilst investment manager and mutual fund fees can be very expensive at times, you shouldn't let this stand in your way.To get ahead of the game, you can now learn how to invest on your own. Become a prepared investor who understands how the stock market functions.You don't need to be an expert in the field of finance. This course will help you unravel the defining concepts of financial markets, right from the get-go. You will learn about value investing and how to measure the performance of stocks, indexes, mutual funds, and ETFs.We will explain different risk measures, and you will get to know how to be a disciplined investor who is aware of the underlying volatility on the market. That way, you will be better able to earn a living with none of the guessing games and uncertainty.Put your resources to work and get a clear idea of what kind of investments are available to you today.This course aims at developing your financial skills and aptitude. The key thing to remember is that there is no magic bullet for making six- and seven-figure profits overnight. This isn't realistic and you should not trust anyone promising you such outcomes. It's all about governing your money properly!What we will do together is cover some very important topics that will build a solid foundation for becoming knowledgeable enough to invest in the stock market. Using your own analysis and forming your own ideas are two of the main skills you will acquire along the way.In this course, you will also learn how to:- Download financial data and interpret the data available in different financial sources- Calculate rates of return and volatility measures- Understand the concepts of correlation and diversification- Interpret the Modern Portfolio Theory and use the Capital asset pricing model to determine expected return on equity in stock valuation models- Build the efficient frontier in Excel- Calculate the Sharpe and Treynor ratios, as well as indicators like M2 and Jensen's alpha- Distinguish between public and private equity securities- Compute the intrinsic value of a stock using the Dividend discount model- Use the industry life cycle model- Define primary and secondary markets- Calculate and interpret the value, price, and total return of an index- Contrast the different weighting methods used in index construction- Characterize behavioral finance and its relevance to understanding market anomalies- Review the principles of technical analysis, and examine common chart patterns- Describe the different types of investors, and consider the various aspects of the asset management industryDon't forget that the course comes with Udemy's 30-day unconditional, money-back-in-full guarantee. And why not give such a guarantee, when we are sure the course will provide tons of value for you?Go ahead and subscribe now! Acquire these skills and leap at the opportunity to set yourself apart from the crowd. Take no chances when planning for your future! Let's start learning together today! Overview Section 1: What Does the Course Cover? Lecture 1 What Does the Course Cover? Lecture 2 How to Calculate Fair Value In Just 4 Minutes Section 2: Practical Concepts Lecture 3 Introduction Lecture 4 A Guide to Yahoo Finance (Part 1) Lecture 5 A Guide to Yahoo Finance (Part 2) Lecture 6 How to Download Historical Price Data in Excel (Yahoo Finance) Lecture 7 How to Download Historical Price Data in Excel (Google Finance) Lecture 8 Formatting a Spreadsheet Lecture 9 How to Download Financials Lecture 10 Stock vs. Index Fund Investing Lecture 11 The Most Popular Stock Indexes and Their Composition Section 3: Finance Fundamentals Lecture 12 How to Calculate Rates of Return Lecture 13 How to Calculate Rates of Return (Excel) Lecture 14 Mean, Variance and Covariance of Asset Returns Lecture 15 Variance and Standard Deviation of Returns (Excel) Lecture 16 Covariance and Correlation Between Two Stocks (Excel) Lecture 17 Portfolio Risk and Return Lecture 18 Portfolio Risk and Return (Excel) Lecture 19 Risk Aversion Lecture 20 Risk Aversion (Implications) Lecture 21 Risk Aversion (Practice questions) Lecture 22 Risk Aversion (Practice questions)_Answers with explanations Section 4: Interaction Between Assets Lecture 23 Major Asset Classes Lecture 24 Historical vs Expected Returns Lecture 25 The Correlation Coefficient Lecture 26 Investment Opportunity Set Lecture 27 Minimum-Variance Frontier Lecture 28 Minimum-Variance Frontier (Excel) Lecture 29 Capital Allocation Line Lecture 30 Optimal Risky Portfolio (Excel) Lecture 31 Capital Allocation Line (Excel) Lecture 32 Optimal Investor Portfolio Section 5: Portfolio Risk and Return Lecture 33 Two-fund Separation Theorem Lecture 34 CAL vs. CML Lecture 35 Systematic vs. Unsystematic Risk Lecture 36 Return-generating Models Lecture 37 Calculate and Interpret Beta Lecture 38 Regression analysis Lecture 39 How to Calculate Beta in Excel Lecture 40 Capital Asset Pricing Model (CAPM) Lecture 41 Security Market Line (SML) Lecture 42 Expected Return (CAPM) Lecture 43 CAPM (Applications) Lecture 44 Sharpe Ratio and M2 Ratio Lecture 45 Treynor Ratio and Jensen's Alpha Lecture 46 Performance Measures (Example) Section 6: Overview of Equity Securities Lecture 47 Equity Securities (Characteristics) Lecture 48 Voting Rights Lecture 49 Private vs. Public Equity Lecture 50 Non-domestic Stocks Lecture 51 Equity (Risk and Return) Lecture 52 The Role of Equity in Company Financing Lecture 53 Market vs Book Value of Equity Lecture 54 Return on Equity Lecture 55 Cost of Equity Section 7: Introduction to Industry and Company Analysis Lecture 56 Industry Analysis Lecture 57 Industry Classification Systems Lecture 58 Commercial Industry Classification Systems Lecture 59 Governmental Industry Classification Systems Lecture 60 Cyclical vs. Non-cyclical Firms Lecture 61 Peer Group Analysis Lecture 62 Industry Analysis (Elements) Lecture 63 Strategic Analysis (Principles) Lecture 64 Barriers to Entry Lecture 65 Industry Concentration Lecture 66 Industry Capacity Lecture 67 Industry Life-cycle Model Lecture 68 Representative Industries (Characteristics) Lecture 69 Industry Growth, Profitability, and Risk (External Influences) Lecture 70 Company Analysis (Elements) Lecture 71 Practice Questions Lecture 72 Practice Questions (Answers and Explanations) Section 8: Market Organization and Structure Lecture 73 Financial System (Functions) Lecture 74 Financial System (Purposes) Lecture 75 Equilibrium Interest Rate Lecture 76 Asset Classification Lecture 77 Security Types Lecture 78 Pooled Investment Vehicles Lecture 79 Currencies Lecture 80 Derivative Contracts Lecture 81 Real Assets Lecture 82 Financial Intermediaries Lecture 83 Dealers Lecture 84 Depository Institutions Lecture 85 Insurance Companies Lecture 86 Arbitrageurs Lecture 87 Clearinghouses and Custodians Lecture 88 Long and Short Position Lecture 89 Short Position Lecture 90 Leveraged Position Lecture 91 Leverage Ratio Lecture 92 Margin Call Lecture 93 Trade Order Lecture 94 Execution Instructions Lecture 95 Validity Instructions Lecture 96 Clearing Instructions Lecture 97 Primary vs. Secondary Market Lecture 98 Initial Public Offering (IPO) Lecture 99 Other Primary Market Transactions Lecture 100 Secondary Market Structures Lecture 101 Execution Mechanisms Lecture 102 Market Information Systems Lecture 103 Characteristics of a Well-functioning Financial System Lecture 104 Market Regulation Lecture 105 Practice Questions Lecture 106 Practice questions (answers and explanations) Section 9: Security Market Indexes Lecture 107 Security Market Index Lecture 108 Price and Total Return Lecture 109 Single-period Total Return Lecture 110 Index Value (Multiple Time Periods) Lecture 111 Index Construction and Management Lecture 112 Index Weighting Lecture 113 Equal Weighting Lecture 114 Market-capitalization Weighting Lecture 115 Float-adjusted Market-capitalization Weighting Lecture 116 Fundamental Weighting Lecture 117 Price-weighted Index (Value and Return) in Excel Lecture 118 Market-capitalization-weighted Index (Value and Return) in Excel Lecture 119 Equal-weighted Index (Value and Return) in Excel Lecture 120 Index returns (Excel) Lecture 121 Index Rebalancing Lecture 122 Market Indexes (Applications) Lecture 123 Equity Index Types Lecture 124 Fixed-Income Index Types Lecture 125 Alternative Investment Index Types Lecture 126 Security Market Indexes (Comparison) Lecture 127 Practice Questions Lecture 128 Practice Questions with Answers Section 10: Market Efficiency Lecture 129 Market Efficiency Lecture 130 Market vs. Intrinsic Value Lecture 131 Market Efficiency: Factors Lecture 132 Market Efficiency Forms Lecture 133 Market Efficiency Forms (Implications) Lecture 134 Market Anomalies Lecture 135 Market Anomalies (Types) Lecture 136 Momentum and Overreaction Anomalies Lecture 137 Cross-Sectional Anomalies Lecture 138 Other Market Anomalies Lecture 139 Behavioral Finance Section 11: Technical Analysis Lecture 140 Technical Analysis - Principles, Applications, Assumptions Lecture 141 Charts Used in Technical Analysis Lecture 142 Other Tools Used in Technical Analysis Lecture 143 Trend, Support and Resistance Lines Lecture 144 Common Chart Patterns Lecture 145 Price Indicators Lecture 146 Momentum Oscillators Lecture 147 Non-price Based Indicators Lecture 148 Technical Analysis - Cycles Lecture 149 Intermarket Analysis Section 12: Portfolio Management: An Overview Lecture 150 Portfolio Approach Lecture 151 Portfolio Management Process Lecture 152 Types of Investors Lecture 153 DB and DC plans Lecture 154 The Asset Management Industry Lecture 155 Mutual Funds Lecture 156 SMAs and ETFs Lecture 157 Hedge Funds Lecture 158 Private Equity Lecture 159 Practice Questions Lecture 160 Practice Questions with Answers Section 13: Equity Valuation: Concepts and Tools Lecture 161 Market vs. Intrinsic Value Lecture 162 Equity Valuation Models (Categories) Lecture 163 Dividend Payments Lecture 164 Dividend Payment Chronology Lecture 165 Dividend Discount Model (DDM) Lecture 166 Free-cash-flow-to-equity Model Lecture 167 Required Rate of Return (Common Equity) Lecture 168 Fundamental Value of Preferred Stock Lecture 169 Gordon Growth Model Lecture 170 Multistage Dividend Discount Model Lecture 171 Present Value Models-Overview Lecture 172 Multiplier Model Lecture 173 Common Price Multiples Lecture 174 Price Multiples Based on Fundamentals Lecture 175 Price Multiples Based on Comparables Lecture 176 Enterprise Value Multiples Lecture 177 Asset-based Valuation Model Lecture 178 Equity Valuation Models-Strengths and Weaknesses Lecture 179 Practice questions Lecture 180 Practice Questions with Answers Beginner investors,Individuals interested in investments,Investors who want to learn hands-on analysis techniques in Excel/Google Sheets,People who want to pursue financial freedom,Individuals who want to pursue a passive income lifestyle,Anyone interested in stock markets and financial securities |