Sanzhi Kobzhan

    Stock market crash course.

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    Financial Markets · Online Course

    Online Course

    Learning format

    $129.99

    Price

    Price may change · updated within 1–2 weeks

    English

    Course language

    What You'll Learn

    • Equity valuation.
    • Bond valuation.
    • Derivatives valuation.
    • Portfolio management.
    • Selecting brokers.
    • Currency devaluation prediction.
    • Market risk management.
    • Interest rate risk management.
    • Currency risk management.
    • Partially Credit risk management.
    • Liquidity risk management.
    • Asset allocation.

    Best For

    • Aspiring financial analysts looking to build a career in asset management
    • Active private investors seeking to move beyond basic trading to rigorous valuation
    • Portfolio managers who want to deepen their understanding of risk mitigation frameworks
    • Finance professionals aiming to bridge the gap between theoretical knowledge and practical execution

    Not For

    • Absolute beginners who have never invested or traded before
    • Day traders looking for quick 'get-rich' schemes or technical analysis signals
    • Individuals seeking basic personal finance advice on saving or budgeting
    • Experienced quantitative analysts already familiar with advanced stochastic modeling

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    About the creator

    Sanzhi Kobzhan

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    Sanzhi Kobzhan
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    Sanzhi Kobzhan is a dedicated financial educator and market analyst who has carved out a distinct reputation for simplifying the complexities of global equity markets. Recognizing that traditional financial education is often clouded by overly academic jargon, Sanzhi developed a teaching philosophy rooted in practical application and real-world clarity. He focuses on stripping away the noise of speculative trading to emphasize the fundamental principles that govern market cycles and investment resilience. As the instructor behind the popular Stock market crash course, Sanzhi draws upon years of meticulous observation and technical analysis to help students understand not just how to trade,…Show more

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    Reviews, Scores & Student Outcomes

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    This comprehensive intermediate-level program, guided by financial expert Sanzhi Kobzhan, serves as an essential roadmap for investors looking to master the complexities of modern financial markets. Spanning over 14 hours of deep-dive content, the course bridges the gap between theoretical finance and practical asset management. Students will gain a rigorous understanding of asset valuation, learning how to accurately price equities, fixed-income bonds, and complex derivative instruments. Beyond simple valuation, the curriculum places a heavy emphasis on robust risk management frameworks. Participants will discover how to identify, measure, and mitigate various financial threats, including market volatility, fluctuating interest rates, currency devaluations, liquidity constraints, and credit risks. Designed for analytical minds, the course also guides learners through strategic asset allocation and portfolio optimization techniques to build resilient investment portfolios. Additionally, practical insights into selecting the right brokers ensure that students can execute their trading strategies efficiently. Whether you are an aspiring financial analyst, a portfolio manager, or an active private investor, this course equips you with the analytical tools needed to navigate turbulent economic landscapes and make data-driven investment decisions.

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