Technical Analysis provides the tools to successfully navigate the gap between intrinsic value and market price across all asset classes through a disciplined, systematic approach to market behavior and the law of supply and demand. It is primarily a study of crowd psychology and crowd behavior in any kind of tradable financial markets and is powerful tool to forecast the future price movements when the PATTERN RECURR.
The Chartered Financial Analyst Program is a globally recognized, graduate level curriculum that provides a strong foundation of real-world investment analysis and portfolio management skills along with the practical knowledge you need in today’s investment industry.
The Financial Risk Manager (FRM®) designation is the globally recognized standard for those who manage risk. Certified FRMs are part of an elite, global network, and are valued by top employers across diverse businesses
Actuaries are experts in assessing the financial impact of tomorrow's uncertain events. They enable financial decisions to be made with more confidence by analyzing the past, modelling the future, assessing the risks involved, and communicating what the results mean in financial terms
Financial modeling program is a skill certification which empowers professionals to work efficiently, effectively and precisely. is the task of building an abstract representation (a model) of a financial decision making situation. It has varied uses in accounting, corporate finance, performance of financial asset or business portfolio, asset pricing etc