There are over 4500 individual stocks listed on the Indian stock exchanges. There are also a few hundred mutual fund schemes that you can invest. However, since you are on the road to financial freedom, the first post-financial freedom step is to ensure that you have set aside a part of your monthly income and invested it in a SIP.
Certified Course |
The Securities and Exchange Board of India (SEBI) has
taken up the responsibility of framing regulations to govern the capital
markets in India. In 1992, SEBI came into being, and today it is arguably one
of India's most critical financial agencies. The primary role of SEBI is to
regulate the securities market in India. It oversees trading for equities
(stocks), futures contracts and other derivative products, amongst other things.
The need for a system like SEBI arose in India as there
was a need for a central regulatory body responsible for overseeing all
financial markets in the country. Until then, every state had a separate agency
that dealt with its demands, resulting in a lack of coordination that led to
several instances of fraud and other problems. With many financial agencies in
play before this got rectified, investors were at the receiving end.
Sebi Certified Course Overview
We offer our learners a course designed to improve their skills and knowledge in such a way that will help them stand out from the competition. Our course is designed in such a way that it will provide them an opportunity to gain hands-on experience and get to learn from the best in the financial market. The Securities and Exchange Board of India, Established in 1992, SEBI, is the primary regulator of the securities market in India. SEBI's mandate is to protect investors' interests, promote the healthy development of the securities market, and regulate all aspects.
SEBI has taken many steps over the years to make the Indian securities market more transparent and efficient. One such initiative is setting up a certification program for financial market professionals. The SEBI Certified Course (SCC) is a comprehensive course that covers all aspects of the securities market, from regulatory framework to risk management to investment strategies.
The SCC is open to all professionals working in or looking to enter the securities market, including bankers, brokers, fund managers, research analysts, and representatives of listed companies. The course comprises four modules: Regulation of Securities Markets; Risk Management in Securities Markets; Investment Strategies in Securities Markets; and Derivatives Market Operations & Strategies. Each module includes theoretical concepts as well as case studies and real-world examples.
Upon successful completion of the SCC, participants will receive a certificate from SEBI that will be valid for life. The SCC provides an excellent opportunity for professionals to understand how the securities markets work and how they are used to achieve one's financial goals.
The course is designed to provide students with an overview of all aspects of the securities market so they can make informed investment decisions. The four modules cover the regulatory framework, risk management, investment strategies, and derivatives market operations and strategies. In each module, students will learn about the theoretical concepts and get practical experience through case studies and real-world examples.
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