Sr No. | Mathematics for Securities Market (8 Hours) | Hours |
1 | Measures of Central Tendency (with their interpretations) Mean, Median, Mode, types of averages–simple, weighted, geometric, harmonic and moving averages | 2 |
2 | Measures of Dispersion Standard Deviation, Variance, Coefficient of variation, Covariance, Skewness and Kurtosis and their interpretations | 3 |
3 | Time Value of Money Concepts on compounding and discounting, CAGR, Yield, Annuity, Valuation of Bond (Basics) | 3 |
Sr No. | Economics for Securities Market (6 Hours) | Hours |
1 | Introduction to Macro Economics Why macroeconomics?, Key terms in Macroeconomics: GDP, GNP, BoP, Fiscal Deficit, Current Account Deficit, Sources of information, Relationship of BOT and BOP, FDI and FII Investment in India | 2 |
2 | Measuring National Income Accounting of National Income, Concept of GDP and its influence on the economy, Savings and Investment in India (The changing composition) | 2 |
3 | Monetary Policy and Fiscal Policy The concept of Inflation, Interest rate, and Exchange rate, understanding the monetary and fiscal policy and their impact on financial markets. | 2 |
NISM-Series VII: Securities Operations and Risk Management | 14 Hours |
NISM Certifications | ||
NISM-Series V A: Mutual Fund Distributors Certification Examination | NISM-Series VIII: Equity Derivatives Certification Examination | NISM-Series XV: Research Analyst Certification Examination |
16 hours | 20 hours | 18 hours |
Internal Examinations & Training | ||
Internal Examinations (6 hours) | NISM Certification Exams (6 hours) | Simulation Training (6 hours) |