For traders & investors alike – of all markets and styles – understanding the actual mechanics of performance is crucial.
After all, when companies state things like ‘past performance is no guarantee of the future‘, it’s not just a legal point — it really is true.
For anyone who:
▸ Has ‘been burned ‘ by numbers that look great on the surface – until they don’t…
▸ Has been unsatisfied with lacklustre growth – which really just follows the market, at best…
▸ Would like to better factor such concepts into their own investment/trading plan
▸ Would simply like to be better armed to assess performance figures, reports etc.
Proper understanding of the key factors which determine bottom-line performance will give both you and your portfolio the best chance at optimal, long-term results.
This course aims to cover principles which are universal to all financial markets (and more), along with those specific to varying approaches.
Ultimately, this course aims to assist in:
▸ Deciding whether to invest in a service
▸ Deciding how much to invest
▸ Determining sustainability of past results
▸ Determining key potential performance weaknesses which can increase risk
▸ Properly assessing the all-important risk vs reward balance
As a structured course, Members can track, review and revisit their progress at any stage.
Page content will refresh after entry.