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Financial markets lessons in Casablanca

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7 financial markets teachers in Casablanca

Trusted teacher: Trading is a zero-sum game. It is an activity where the sum of the gains and losses of all traders is equal to zero. This means that the gain of one necessarily constitutes a loss for the other. Therefore to be a winning trader, it is "sufficient" to be "better" than 50% of the other traders (to simplify things even if that does not is not totally accurate). It seems easy as long as you know what to buy, at what price and when to sell. I am an industrial engineer and I trade (stocks and ETFs) for over 20 years. During the first years of trading I was losing because I had no clear strategy and I was not advised by an winning expert. I mostly did my own research in books and on the internet. I was developing strategies that I tested with my own money. Over time I eliminated the losing strategies and improved those which made me win in order to optimize them. Today I only use four strategies (one main and three complementary) because they make me win regularly and with the best risk / gain ratio. If you are a beginner or if you are a trader who is losing or not earning enough, then I can help you become a winning trader over the year by sharing my 4 strategies with you. Since I am an engineer and not a financial expert, I am not going to overload you at all with theoretical financial concepts that are not necessary in order to become a successful trader. I will teach you the bare minimum that you need to know in order to become a successful trader. Because what is important is to be a successful trader and not not an expert who knows the theory inside out but who loses in trading. Depending on your level and your choices, I offer the following modules : 1) Choice of best trading platform that is suitable for you. 2) Presentation of my main strategy and the checklist (34 criteria that must be positive before buying stocks). 3) Adaptation of my main strategy to the level of risk you wish to take. 4) Presentation of the 3 complementary strategies. 5) Discover the useful websites for the 4 strategies. 6) Explanation of the golden rules for the management of the bankroll that you have devoted to trading. NB: see below Specialized in stocks and ETFs as bull. Against selling short for purely mathematical reasons (i am happy to explain why). I take swings for several weeks to several months.
Financial markets · Investing · Personal finance
Business accounting · Financial markets · Personal finance
Trusted teacher: 💼 Ready to Tame the Financial Markets? 💼 🚀 AFM TRADING: Your Path to Financial Success 🚀 Are you ready to unlock your financial potential? At AFM TRADING, we firmly believe that trading is not just an activity, it is an opportunity to transform your life. With our trading education, you can pave the way to a brighter, more fulfilling financial future. ✨ Why Choose AFM TRADING? ✨ 📈 Cutting-Edge Training: Our trading training program provides you with cutting-edge expertise, innovative strategies and valuable tools to excel in the financial markets, whether you are just starting out or already have experience. 💡 Personalized Mentoring: At AFM TRADING, we don't leave you alone. Benefit from personalized mentorship to guide you through every step of your trading journey. Your success is our priority. 💼 Practical Approach: Learning by doing is at the heart of our method. You will immediately apply your knowledge to achieve tangible results in the financial markets. At AFM TRADING, we firmly believe that practice is the key to success in trading. 📊 Winning Strategies: We will teach you winning trading strategies that will allow you to make informed decisions in the financial markets and maximize your profit potential. 💰 Unlimited Income Potential: Trading offers unlimited income potential for those who are willing to learn and commit. At AFM TRADING, we will give you the tools you need to turn your financial goals into reality. 🎓 Don’t Postpone Your Financial Future Anymore! 🎓 Don't miss the opportunity to transform your financial life. Join AFM TRADING today and start your journey to financial success. Our places are limited, register now!
Financial markets
Trusted teacher: MsC in Engineering with top marks and research assistant of Econometrics for Italian top University. Business Expert in Risk Management. Academic Research in Quantitative Finance and Algorithmic Trading. Common discipline covered: Econometrics (with applications in R, Stata, SPSS, Eviews, Gretl), Statistics, Financial Mathematics, Quantitative Support for Master Degree Thesis (from Regressions to all statistical applications), Risk Management, Mathematics, Computer Science I help with assignments, exams, presentations, advanced research, dissertations, big programming projects and general skill enhancement. Proficient in all major statistical packages: R, SPSS, Stata, Matlab, EViews, Gretl. Covering university courses all around Europe: Italy, United Kingdom, France, Germany, Spain, Portugal,... Technical Skills (application and often implementation from scratch): 1) Econometrics: Multivariate Regression, Discrete variable models (i.e. Logit), Time series models (i.e. AR/MA, ARCH/GARCH), Vector AutoRegressive model (VAR), Cointegration (Engle-Granger, VECM), Long-memory process (Fractional Integration), Regime switching models (Hamilton Filter), Kalman Filter, Unobserved Components ARIMA model, Beveridge-Nelson decomposition (Hansen's approach), Copula methods, Metropolis-Hastings algorithm, Black-Litterman model (Meucci's approach), Hierarchical Risk Parity 2) Quantitative Trading (Mid-High Frequency Trading): Stat Arb & Pairs Trading models, Order Imbalance & Order Replenishment effects on intraday returns, Optimal Setup of Entry-Exit Trading Triggers for Quant Trading Strategies, Stat Arb Bertram Model, Data sampling rules for non equally-spaced data (time vs. volume clock for high freq data), Bid-Ask Bounce Bias & Sahalia Method for Microstructure Noise Estimation & Test, Hayashi-Yoshida Lead-Lag Index, D'Aspremont Method for Mean Rev Portfolios, Market Fragmentation in Financial Markets, High-Low prices & Pivot Points trading rule, Trend Following Strategy, Avellaneda-Stoikov Model for Optimal Trading Execution 3) Risk Management: P&L production & analysis for energy trading, VaR & Profit at Risk for energy trading, Merton approach for Credit VaR with/without credit rating migrations, EVT & Copula-based VaR, Stress Test models, Structured Credit Models for Regulatory Risk-Transfer, Additional Value Adjustments for Balance Sheet, Risk Aggregation, Model Risk, Interpolation Methods for multi-year PD Term Structure, Methods for Semidefinite-Positive Corr Matrix Adjustment 4) Financial Mathematics: Longstaff-Schwartz, HJM model (Glasserman's scheme), Greeks with Finite Difference Method, CPPI Products & Cushion Multiplier Setup 5) Machine Learning: Support Vector Machine, Decision Tree, Principal Component Analysis & Regression, XGBoost, Random Forest
Statistics · Finance · Financial markets
Are you ready to master the world of finance? This comprehensive college-level finance course is designed to provide students with a deep understanding of both foundational and advanced financial concepts. Whether you're pursuing a degree in business, economics, or just seeking to enhance your financial literacy, this course will equip you with the knowledge and skills needed to excel. Course Highlights: Introduction to Finance: Understand the role of finance in the economy, key financial concepts, and the financial decision-making process. Financial Markets & Instruments: Explore the various financial markets, types of financial instruments, and their role in the economy. Corporate Finance: Learn about capital budgeting, risk analysis, capital structure, and working capital management. Investment Analysis: Gain insights into portfolio management, asset valuation, and investment strategies. Financial Statements & Analysis: Develop the ability to analyze financial statements and use them for decision-making. Risk Management: Understand the principles of risk management and how to mitigate financial risks. Real-World Applications: Apply financial theories to real-world scenarios through case studies and practical exercises. Who Should Enroll: Undergraduate students studying finance, business, or economics. Aspiring finance professionals seeking a solid grounding in financial principles. Individuals interested in gaining a deeper understanding of personal and corporate finance. What You'll Gain: By the end of this course, you'll be able to analyze financial data, make informed financial decisions, and apply your knowledge in real-world settings. Whether you’re preparing for a career in finance or simply looking to enhance your financial literacy, this course will set you on the path to success.
Finance · Financial markets · Personal finance
Course Overview Dive into the world of Forex trading with our comprehensive "Technical Analysis for Forex Trading" course. Designed for both beginners and intermediate traders, this course provides the essential tools and strategies needed to understand and apply technical analysis in the dynamic Forex market. By the end of the course, participants will have a solid foundation in technical analysis, enabling them to make informed trading decisions and develop effective trading strategies. Course Objectives Understand the principles of technical analysis and its significance in Forex trading. Learn to interpret various technical indicators and chart patterns. Develop skills to analyze price movements and market trends. Gain the ability to create and implement trading strategies based on technical analysis. Improve risk management techniques and trading psychology. Course Outline Module 1: Introduction to Technical Analysis What is Technical Analysis? The Importance of Technical Analysis in Forex Trading Overview of Forex Market Mechanics Module 2: Chart Types and Patterns Candlestick Charts: Structure and Interpretation Line, Bar, and Renko Charts Common Chart Patterns: Head and Shoulders, Double Tops and Bottoms, Triangles Module 3: Technical Indicators Moving Averages (MA): Simple, Exponential, and Weighted Relative Strength Index (RSI) Moving Average Convergence Divergence (MACD) Bollinger Bands Fibonacci Retracement Levels Module 4: Trend Analysis Identifying Trends: Uptrends, Downtrends, and Sideways Trends Trendlines and Channels Using Moving Averages to Confirm Trends Module 5: Volume Analysis The Role of Volume in Confirming Price Movements Volume Indicators: On-Balance Volume (OBV), Volume Oscillator Module 6: Advanced Technical Analysis Tools Ichimoku Cloud Parabolic SAR Pivot Points Elliott Wave Theory Module 7: Developing a Trading Strategy Combining Multiple Indicators Entry and Exit Points Backtesting Strategies Creating a Trading Plan Module 8: Risk Management and Trading Psychology Position Sizing and Risk/Reward Ratios Setting Stop-Loss and Take-Profit Levels Managing Emotions and Staying Disciplined Developing a Winning Trader’s Mindset Module 9: Practical Application and Case Studies Real-World Examples and Case Studies Live Market Analysis and Simulated Trading Q&A Sessions and Peer Discussions Learning Outcomes By the end of this course, participants will be able to: Confidently use technical analysis to evaluate the Forex market. Identify and interpret key technical indicators and chart patterns. Develop and execute effective trading strategies. Apply risk management techniques to protect capital. Enhance their trading discipline and psychology. Who Should Enroll? Aspiring Forex traders looking to understand technical analysis. Current traders seeking to refine their technical analysis skills. Investors interested in enhancing their trading strategies. Anyone with a passion for learning about the Forex market and technical trading. Prerequisites No prior experience in Forex trading or technical analysis is required. A basic understanding of financial markets and trading concepts is beneficial but not mandatory.
Finance · Financial markets · Personal finance
Investment Fundamentals: An overview of financial markets, investment instruments, and the role of investments in personal and institutional finance. Risk and Return: Analysis of risk and return trade-offs, including the concepts of risk assessment, expected return, and the relationship between risk and reward. Investment Strategies: Exploration of various investment strategies, including value investing, growth investing, and income investing. Asset Allocation: Techniques for building and managing diversified investment portfolios to achieve specific financial goals and risk tolerance. Securities Analysis: In-depth examination of stocks, bonds, and alternative investments, including valuation methods and fundamental analysis. Portfolio Management: Strategies for constructing and rebalancing investment portfolios to maximize returns while minimizing risk. Behavioral Finance: Understanding the psychological aspects of investment decision-making and how emotions can impact investment choices. Market Analysis: An introduction to technical and fundamental analysis for assessing market conditions and trends. Case Studies: Real-world case studies and simulations to apply theoretical concepts to practical investment scenarios. Ethical Considerations: Discussion of ethical issues in finance and investment, including responsible investing and corporate governance. Investment Tools and Technology: An overview of tools, software, and technology. By the end of the course, students will be equipped with the knowledge and skills necessary to make well-informed investment decisions, construct and manage portfolios, and navigate the evolving landscape of financial markets.
Financial markets · Investing
Welcome to a comprehensive and intellectually stimulating learning experience, where I present "Foundations of Finance, Economics, and Mathematics" – a meticulously designed tutoring program for individuals seeking to acquire a robust understanding of these essential domains. Class Overview: 🌟 Introduction to Finance & Economics: Within this course, participants will embark on an educational voyage into the intricate world of finance and economics. Topics include financial principles, budgetary strategies, investment concepts, and an exploration of economic dynamics. The practical applications of these subjects will be emphasized, enabling students to make informed financial decisions and comprehend the mechanisms shaping the global economy. 🌟 Mathematics Mastery: The mathematics curriculum is structured to ensure a profound grasp of mathematical concepts. Students will engage with fundamental arithmetic, algebra, and geometry, with an emphasis on problem-solving methodologies. The approach seeks to cultivate not just memorization but a deep comprehension of mathematical principles, equipping students with invaluable analytical skills applicable in various academic and practical contexts. Why Enroll in the Class? 🧮Instructor Expertise: I'm an Economics with Finance student, and my journey at the University of Edinburgh has been marked by academic excellence. With a medal in recognition of my achievements, I've had the privilege of working with more than four investment firms, gaining valuable insights and practical experience in the field. 🧾 Practical Relevance: I understand the importance of bridging theory and practice. In our class, I bring my real-world experience into the curriculum, ensuring that what you learn directly applies to the dynamic world of finance, economics and Mathematics. In addition to our core curriculum, I understand the importance of preparing for standardized tests like the SAT and other future exams. I will offer dedicated mock exams, test-taking strategies, and personalized feedback to help you excel in these assessments. Join me in this exceptional educational endeavor, where you will gain indispensable life skills and establish a sturdy foundation for future academic accomplishments. Do not miss this opportunity to cultivate financial acumen and mathematical proficiency.
Economics for students · Financial markets · Math
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Only reviews of students are published and they are guaranteed by Apprentus. Rated 4.9 out of 5 based on 9 reviews.

Financial Statement Analysis - Understanding and Analyzing Financial Statements for better decision making
Asim
What a great tutor. Explains everything very well and makes it simple to understand all the difficult finance concepts. Asim is very friendly, kind, and easy to talk to. Very professional and knowledgeable and I can also see his passion and dedication to teaching.
Review by LAURA
Statistics, Econometrics (including calibration of models on real data) (Adliswil)
Gianmarco
Gianmarco helped me understand and solve my problems in a friendly, quick and clear manner. He displayed a thorough understanding of the topic. I very much appreciate him as a teacher and can recommend him to anyone.
Review by CHRISTINA
Trading courses from a successful trader with over 20 years of experience (Brussels)
Christian
Excellent teacher. Just clear and straightforward to the important points.
Review by JAVIER