Understanding the basics of stock markets, including how they function, the role of exchanges, and the buying and selling process.
Examining historical price and volume data to predict future price movements and make trading decisions.
Assessing a company's intrinsic value by analyzing financial statements, industry trends, and economic factors.
Exploring different asset classes beyond stocks, including currencies, commodities, and government securities, and understanding their role in diversified portfolios.
Identifying and managing risks associated with investing, as well as understanding the psychological factors that influence trading decisions.
Exploring mutual funds as an investment vehicle, including their types, benefits, and considerations for building a diversified portfolio.
Evaluating specific sectors or industries within the market to identify trends, opportunities, and risks for investment.
Understanding the tax implications of investment activities and how to optimize tax strategies within financial markets.