Master Course in Behavioral Finance 2.0

Master Course in Behavioral Finance 2.0

Behavioral Finance, Investor Psychology, Investment Strategies, Finance Management, Behavioral Economics, Finance theory



Sub Category

  • Finance

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Objectives

  • Understand the foundational principles of behavioral finance and its distinction from traditional finance.
  • Identify and classify various cognitive and emotional biases affecting financial decision-making.
  • Analyze the impact of decision heuristics on investment choices and portfolio management strategies.
  • Apply Prospect Theory concepts to evaluate investment decisions under different framing scenarios.
  • Recognize market anomalies and their implications on market efficiency and investment strategies.
  • Assess investor psychology traits such as risk tolerance and loss aversion in investment contexts.
  • Interpret investor sentiment and its influence on market behavior during different market cycles.
  • Develop investment strategies integrating behavioral finance insights for improved decision-making.
  • Construct portfolios and trading strategies considering behavioral biases and market inefficiencies.
  • Evaluate ethical considerations in the application of behavioral finance principles in financial advisory and investment management.


Pre Requisites

  1. Basic skills and Ideas of Behavioral Finance !


FAQ

  • Q. How long do I have access to the course materials?
    • A. You can view and review the lecture materials indefinitely, like an on-demand channel.
  • Q. Can I take my courses with me wherever I go?
    • A. Definitely! If you have an internet connection, courses on Udemy are available on any device at any time. If you don't have an internet connection, some instructors also let their students download course lectures. That's up to the instructor though, so make sure you get on their good side!



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