Capital Markets Fundamentals
Overview:
Understand capital market fundamentals
- Focus on a comprehensive overview of equity finance and debt finance content.
- Learn about how equity finance can be raised through a stock market and how the debt market facilitates the trading.
- Gain practical knowledge about the procedures of issuing shares and the ways in which a company can borrow from a bank.
- Understand decision-making process by focussing on the appropriate financing method to remain a long-term, viable going concern.
- Create a better understanding of how the capital markets are structured and which financing source may be best suited for your company.
Acquire new skills to demonstrate your proficiency
- Characters and sources of debt finance
- Capital markets and their functions
- Advantages and disadvantages of equity finance
- Methods of issuing shares and IPO process
- Difference between bond and bank borrowing
Gain practical experience
Use case studies and scenarios to evaluate business performance and get a deeper understanding of various ways to improve the business performance and align with organisational goals.
This is a standalone course but if you're interested in more of this type of learning while earning a designation, explore the CGMAr Finance Leadership Program.
Objectives:
Learning Outcomes
- Identify the characteristics and sources of debt finance.
- Analyze the advantages and disadvantages of a company listing its shares on a stock exchange.
- Analyse the various methods of issuing shares
- Analyze the difference between bank borrowings and bonds
- Analyse the different types of bank finance available.
Major Topics:
Key Topics
- Long term debt
- Stock exchanges and capital markets
- Types of share issues
- Bond Finance
- Bank finance
Designed For:
Who Will Benefit
- Global accounting and finance professionals
- Management accounting professionals
- Controllers
- CFOs
- Finance vice presidents
- Finance directors
- CPAs and CAs