Macro & Micro Aspects in relation to stock markets:Like the economy the Stock market is influenced by both the Macro and Micro aspects that keeps it functioning day to day. Here we can learn of the various factors that surround the working around the stock market.
Markets affects by IIP, Inflation, PMI, Monetary Policy etc.: The stock market is vulnerable to many factors like IIP, Inflation, PMI etc.. These factors can either be a benefit or disadvantage for an investor.
Correlation & Covariance Analysis: In this chapter we learn about the relationship and the dependency between two variables. “Covariance” indicates the direction of the linear relationship between variables. “Correlation” measures both the strength and direction of the linear relationship between two variables.
Financial Terminology such as Buy back, Bonus, and Corporate Actions etc:In this particular section we can learn about the various meaning use in finance which eventually will help a student in gaining more understanding.