What you'll learn

Description: This course is designed to: ? Make the student more competitive by improving his/ her trading skills for business or corporate jobs ? It will help to improve astro, fundamentals and technical skills to meet corporate needs ? The students will apply the different dimensions which effect stock market to increase return on investment Learning Outcome: ? At the end of this course the students will evaluate various concepts and principles related to Fundamental, technical and astrological analysis. ? They will assess different dimensions related to stock market in personal and professional life for taking positions in financial market ? They will able to apply these concepts and for taking decisions in the stock market, ? They will learn and understand the art speaking in public platform and the how to overcome the fear of public speaking ? They will construct a portfolio and generate decent retunes in both personal and professional life.

  • Meaning of financial astrology, how planes impact market, zodiac division, twelve rashi signs, ruling planets, rashi and direction, nine houses
  • Planets, thiti, nakshatras, dasha, panchang, planets and houses for stock market, decision to trade in stock market, twelfth house and type of investment, planets significance in sectors
  • Full moon and new moon, change in Jupiter mercury, venus and trading, bhadra &its impact, sankranti impact, sri- distri, Ashtami, effect of conjunctions of planets nakshatra of planet and day
  • Meaning of fundamental analysis, difference in fundamental and technical analysis, EIC framework, ratio analysis, financial statement. annual report, investor presentation, concall, graham formula, magic formula, multi-baggers, picking stocks
  • Gann trading, Gann cycle, anniversary dates, number 9. and 45, phycological rules of Gann, numerology and stock market
  • Super breakouts, ETF trading, option selling, turtle trading, darwas box, buy low and sell high, swing trading

Dr. Mahesh Kumar Sarva
Professor

Dr. Mahesh Kumar Sarva is working as Professor at Mittal School of Business, Lovely Professional University, Punjab. He has rich experience in academics as well as in the financial sector industry of more than 22 years and is also much passionate about training and teaching. With experience, he has developed a sound understanding of needed traits for the financial profiles and career growth of university graduates, postgraduates and professionals. His strength has been his knowledge and making it available to students and professionals in an easy way. He holds a Doctorate degree and Masters in Business Administration (Finance.). His expertise entails areas like Security Analysis and Portfolio Management, Derivative Market and Risk Management, Commodity Derivatives, Indian Financial System and Fundamental & Technical Analysis. His research interest includes issues of the securities market, depository system, efficiency of the financial system as well as behavioral finance and Investor awareness in the financial market. HE has written books and published several articles in the field of finance. He is also certified with various certifications in NCFM and NPTEL and takes immense interest in helping, mentoring, motivating and developing the students to get good placement with confidence level.