Search
Close this search box.

Investment Analysis and Portofolio Theory

Description

Pelatihan ini membahas tentang berbagai konsep dasar seperti perilaku tingkat bunga, manajemen portofolio, hubungan antara return dan risiko, strategi penentuan sekuritas, hubungan antara return dan risiko, strategi penentuan harga sekuritas dan berbagai isu dalam manajemen risiko.

Method

  • Pre-test
  • Presentation
  • Discussion
  • Case Study
  • Post-test

Facility

  • Training Amenities
  • Training Kit (Tas, Hand out, Flashdisk, Block note, Pulpen, dll)
  • Certificate
  • Souvenir
  • 2x Coffee Break, 1x Lunch

Contact Us

If you have any questions, send us a message!

Ready to Grow? Talk to an Expert Today!

Registration

Please enable JavaScript in your browser to complete this form.