| Code |
Topics Name |
Language |
AIF30L20001 |
Introduction to
Investment Planning |
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AIF30L20002 |
Return |
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AIF30L20003 |
Risk |
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AIF30L20004 |
Types
of Risk |
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AIF30L20005 |
Return & Risk |
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AIF30L20006 |
Quantifying Ex Ante (Expected Risk and Return) |
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AIF30L20007 |
Return and Risk in A Portfolio Context |
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AIF30L20008 |
The Market Model |
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AIF30L20009 |
Using Beta |
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AIF30L20010 |
Introduction to Financial Market |
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AIF30L20011 |
Equity |
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AIF30L20012 |
Fixed Income Securities |
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AIF30L20013 |
Small Saving Instruments |
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AIF30L20014 |
Mutual Funds |
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AIF30L20015 |
Deposits |
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AIF30L20016 |
Unit Linked Insurance Products |
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AIF30L20017 |
Derivatives |
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AIF30L20018 |
Real Estate |
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AIF30L20019 |
Other
Investments |
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| |
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AIF30L20020 |
Investment
Process |
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| |
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AIF30L20021 |
Asset Allocation |
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AIF30L20022 |
Active and
Passive Investment Strategies |
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AIF30L20023 |
Rebalancing Portfolios |
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AIF30L20024 |
Portfolio Revision Techniques |
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AIF30L20025 |
Regulatory Functions of
Financial Institutions |
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AIF30L20026 |
Complaints
Handling |
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