Macroeconomics for Financial Markets Module

Understanding of Economics is a key to discern how the financial markets operate. There are intricate linkages between various economic factors and financial variables which can have both direct and indirect impact on the financial markets. An economic perspective facilitates identification of the causes of different economic developments as well as anticipation of the possible impact of changes in policies.

This module aims at providing a basic understanding of various macroeconomic concepts and a glimpse of macroeconomic behavior.

Why should one take this course?

  • To have a basic understanding of various macroeconomic concepts
  • To learn about macroeconomic behavior

Who will benefit from this course?

  • Students of Management and Commerce
  • Economists
  • Finance Professionals
  • Stock Analysts
  • Employees with financial institutions
  • Anybody having interest in this subject

Test details

Duration: 120 minutes

No. of questions: 60

Maximum marks: 100, Passing marks: 60 (60%); There is negative marking for incorrect answers.

Certificate validity: For successful candidates, certificates are valid for 5 years from the test date.

Fees

1,500/- (Rupees One Thousand Five Hundred Only).

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    Course Outline : Macroeconomics for Financial Markets Module (.pdf)

    Study Material :Macroeconomics for Financial Markets Module (.pdf)


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