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Please See Below For Course Information On 'Behavioural Finance and Equity Investment Strategies'



Overview

Modern finance portrays investment decision-making as rational choice. However, pure rationality does not describe how many decisions are truly made. This course examines (1) the behavioural strategies that amateur and expert investors rely upon to make decisions, (2) the structure and speculative dynamics of returns in world equity markets (from a psychological perspective), and (3) the practical implications of behavioural finance. The course includes a discussion of common psychological errors such as wishful thinking, extrapolation bias, tunnel vision, inertia, lack of self-discipline and emotional distortion.

Who is it for?

* Securities analysts and portfolio managers
* Financial advisors relationship managers, private banking specialists
* Regulators
* Management consultants and corporate executives
* Affluent investors

What will I learn?

Foundations of Behavioural Finance

Introduction
Judgement
Choice
Emotions
Social and Investor Psychology


Equity Investment Strategy

Predictability in World Equity Markets

Reversals: Overreaction
Trends: Underreaction
The management of earnings and earnings expectations
Risk and return

How will I be assessed?

This program is eligible for 16 Continuing Education credit hours from the CFA Institute. If you are a CFA Institute member, CE credit for your participation in this program will be automatically recorded in your CE Diary.

Address

Butlers Wharf, London SE1

Travel Information

http://www.londonfs.com/contact.htm

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