This Postgraduate Certificate in Finance and Trading will provide students with a fundamental understanding of the structure of global financial markets, as well as the practical skills needed to trade different markets in real life. The programme will examine theoretical concepts and practical methods employed to trade and manage different financial instruments, including cash and derivative instruments across a range of asset classes. Students will learn how technical analysis can be used to help forecast market prices, with a further optional module covering trading psychology and risk management.
This is a 14-week course consisting of four modules (one compulsory module and three elective modules).
You can choose 4 modules from those listed below
Global Financial Markets
Financial Markets Trading Terminals (Bloomberg)
Trading Psychology and Risk Management
Financial Derivatives Trading