Welcome to Financial Corridor

FRAPT Specialization

FINANCIAL RESEARCH & ANALYSIS PROGRAME (FRAPTM)

COURSE OBJECTIVE

An Intensive 3 month’s modular program covering the disciplines required to Master in Financial Research & Analysis. The course has been designed in keep the changing financial scenario. The objective of financial research and analysis program is to prepare investor and trader to trade like professional, work like an analyst in finance industry. Whether you have never traded before , or only trade once in a while, this course will teach you the secrets and practical aspects of the active trading world with an emphasis on technical analysis, fundamental analysis and risk management.

You will learn technical, fundamental & risk management analysis from the basis to the most advanced levels, utilizing techniques and high probability chart pattern used by professional traders and market makers.

AGENDA & MODULES

MODULE- I

PRINCIPLES & THEORIES

MODULE- II

SPECIALIZATION

PRINCIPLES & THEORIES

The first part Of FRAP specialization has cover all three aspects of securities market-

  • Technical Analysis at a glance

  • Fundamental Analysis with deep concepts

  • Derivative Analysis in real market scenario
  • TECHNICAL ANALYSIS
  • FUNDAMENTAL ANALYSIS
  • DERIVATIVE ANALYSIS

FRAPT SPECIALIZATION

In today chaotic business environment participation in specialization programs has been more than an opportunity to gain or improve particular skill. At financial corridor we don't teach leaders how to follow the market. We teach them how to disrupt it -by thinking critically, challenging assumptions, and changing the rules of competition.

After completion of  PART-I PRINCIPLES & THEORIES you can enter into PART-II SPECIALIZATION(PRACTICAL APPLICATION) & choose one out of two Specialization, Fundamental cum derivative Analysis and Technical Cum Derivative Analysis. This Module covers full Application based on Research related software and Excel spreadsheets.

SPECIALIZATION OPTIONS

  • Technical Cum Derivative Analysis
  • Fundamental Cum Derivative Analysis

 
  1. Background & basics

  2. Introduction what is technical analysis

  3. Constructing and interpreting charts

  4. What to look for on charts

  5. Trend analysis

  6. Technical theories

  7. Technical analysis indicators

  8. Sentimental indicators

  9. Ratio analysis

  10. Chart formations

    • Trend reversal formations

    • Trend continuation formations

  11. Specialty indicators

  12. Technical analysis of commodity charts

  13. Stop orders (how to set stop loss)

  14. Why interest rate affect the market

  15. Volume and open interest relationship

  16. Ichimoku chart.

  1. Fundamental Analysis - An Overview

  2. Economic Analysis

  3. Financial Statement Analysis

  4. Industry Analysis

  5. Company Analysis

  6. Ratio Analysis

  7. Introduction TO Valuation

  8. Market Efficiency- Theory & Models

  9. Riskless Rate & Risk Premiums

  10. Cost Of Equity And WACC

  11. DCF Valuation

  12. Relative Valuation

  13. LBA Valuation Model

  14. EVA & MVA

  15. Automated Valuation Model for Property Valuation.

  1. Introduction to Derivative

  2. Future & Forward

  3. Future & Forward Fair Pricing Valuation

  4. Application of Future & Forward To Making Arbitrage Profit

  5. Option - Introduction

  6. Option Strategies

  7. Option Pricing Valuation Models

  8. Option Sensitivities (Greeks)

  9. Option And Financial Engineering

  10. Exotic Option

  11. Swap & Swap option

  12. Cap, Floor, and Collar

  13. Credit Derivative

  14. Credit Default Risk

  15. Weather Derivative

  16. Risk Management Using Derivative

  1. In this specialization part financial corridor is providing a unique practical platform to each & every candidate through which one can give application of his knowledge about technical patterns, indicators and theories which he gain from PART –I PRINCIPLES & THEORIES (Technical analysis & derivative analysis).

  2. Under this module financial corridor is providing a WEB PORTAL namely (MARKET ALARM) on home page of financial corridor website www.financialcorridor.com which consists of Intraday, short-term & long term Recommendations columns. This web-portal (MARKET ALARM) is free of cost for every investor, stock broker, sub broker, research house and everyone who want to invest into the stock market.

  3. After completion of PART –I PRINCIPLES & THOERIES, Financial Corridor will give a STOCK RECOMMENDATIONS PROJECT to each & every candidate under which every candidate must forward STOCK RECOMMENDATIONS on the basis of intraday, short term & long term scenarios by using Technical Analysis Software (META-STOCK) EOD CHARTS.

  4. After scrutinizing all the given Stock recommendations by Financial Corridor Experts, Financial Corridor will forward selected Recommendations to WEB PORTAL (MARKET ALARM) on daily & weekly basis.

STUDENTS WILL BE ABLE TO:

  • Practical Application on Real Market Data by using Real Market software (META-STOCK & SPIDER-IRIS).

  • Utilize Derivative Strategies with Technical analysis.

  • Able to prepare Technical Research Reports.

  • Able to prepare Daily & weekly basis reports. 

  • Create your own Market Forecast.

  • Identify trends and important price patterns.

  • Recognize patterns.

  • Use technical indicators.

  • Apply technical theories.

SECTOR SPECIFIC RESEARCH REPORT PROJECT

  • For giving Practical Exposure, financial corridor will give a Research Report Project to each & every candidate for specific sector under which one can gain how to make an efficient Equity Research Report & Technical Research Report with full Application of Research related software & Excel spreadsheets.

  • This Project is mandatory for both the specialization Technical analysis & fundamental analysis.

FINANCIAL MODELLING & Excel Application for Sectors specific Research reports:

  • Excel Basics( Analyst’s Excel formulas & functions)

  • DCF, DDM, LBO Valuation on excel

  • Relative valuation like P/E, P/SALES, P/BV, Comparison analysis on Excel.

  • Ratio Analysis on Excel

  • WACC, cost of equity, cost of debt on excel

  • DuPont Analysis- ROE

  • Enterprise Value multiples

  • Option & Future valuation model on excel

  • Pivot table

  • EVA & MVA

Students will be able to:

  • How to make Equity research report & Sector specific Report.

  • How to make Daily and weekly basis Report.

  • Full Excel expertise on company valuation.

  • How to set assumptions for companies’ growth model and future prospects.

  •  How to value a company ( DCF, LBO, break-up and asset valuation)

  • Importance of Enterprise Value, EBITDA, capital structure, leverage and WACC.

  • Analyze valuation multiples and ratios; why are PE ratios sub-optimal as a valuation metric?

  • Practical, non-theoretical application of introduction to corporate finance

  • Create a top-down income statement projection model

  • Construct a basic discounted cash flow analysis utilizing multiples and perpetuity growth model

  • Build analysis of current market trading statistics and analysis at various prices

  • Analyze current market data (trading companies) and historical acquisitions (deal companies)

Key benefit after completion FRAP specialization:

  • After completion of given project it is mandatory for every candidate to submit their sector specific Research report to financial corridor which is forwarded at financial corridor website www.financialcorridor.com  after scrutinized by financial corridor’s experts.

  • At the completion of the course compulsory Examination will be conducted by financial corridor.

  • After completion of FRAP SPECIALISATION each & every candidate will get Research Trainee Designation and 3 months experience letter from financial corridor

WHO WILL BENEFIT FROM THE PROGRAM (Eligibility Criteria )
  • A Candidate who pursuing CFA , MS Finance, MBA from (ICFAI)

  • Qualified Chartered Financial Analyst(CFA), MBA from ICFAI

  • A Candidate who pursuing CFA (USA) LEVEL I, II, III

  • A Candidate who pursuing FRM (GARP) LEVEL I,II

  • A FINAL YEAR CANDIDATE OF MBA, CA, CS, ICWA, CAIIB

  • A Graduate, postgraduate who have minimum 6 months experience in stock market.

  • A Candidate who qualified FRAP™ foundation from financial corridor.

COURSE DETAIL

Course Name

FRAP™ SPECIALIZATION

Duration

3 months

Level

Beginners to Expertise

Perquisites

Financial calculators, Laptop (optional)

Fee 

Indian rupee 25000/per candidate

Instruction method

Group live

Location

Pitampura , Rajori garden, Janakpuri

 

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