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Unclaimed ProfileEmbarking on your financial journey requires more than just basic definitions; it demands a robust, actionable framework built by industry professionals. Investing in the Stock Market, led by veteran fund manager and global speaker Jack Kouzi, is meticulously designed to bridge the gap between novice curiosity and professional-grade execution. This comprehensive course demystifies the inner workings of global equities, empowering everyday investors to take control of their financial destinies. Throughout the curriculum, participants will explore time-tested asset allocation models, risk management protocols, and proven strategies designed to generate compounding, multi-generational wealth. Whether you are aiming to build a retirement nest egg, understand market cycles, or decode corporate balance sheets, Jack Kouzi provides the practical tools and behavioral insights necessary to navigate both bull and bear markets with confidence. By analyzing real-world case studies and adopting a disciplined, systematic approach to equity research, learners will move beyond speculative trading and transition into strategic, long-term investors capable of securing their financial independence.
About the creator
Jack Kouzi Fund Manager + Global Speaker
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Jack Kouzi is a seasoned fund manager, financial strategist, and global speaker dedicated to demystifying the complexities of the stock market for everyday investors. With years of hands-on experience navigating international markets and managing investment portfolios, Jack brings a wealth of practical, real-world knowledge to his courses. He understands that the financial world can often feel like an exclusive club, filled with jargon and complex formulas. That is why his teaching philosophy centers on clarity, actionable insights, and structured learning. In his course, "Investing in the Stock Market," Jack breaks down sophisticated investment strategies into bite-sized, digestible lessons that empower…Show more
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Program Overview
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Learning format
Subcategory
Price
Price may change · updated within 1–2 weeks
Course language
What You'll Learn
- Deconstruct how the global stock market operates, including exchanges, brokerages, and order execution mechanisms.
- Apply fundamental analysis techniques to evaluate financial statements, analyze corporate health, and estimate intrinsic company value.
- Formulate dynamic asset allocation strategies designed to mitigate risk while maximizing compound growth for long-term wealth creation.
- Develop practical behavioral discipline to overcome psychological traps like panic selling and herd mentality during market corrections.
- Construct a diversified portfolio of individual equities, ETFs, and index funds aligned with specific financial goals and risk tolerance profiles.
- Implement proven risk-management protocols, including stop-loss strategies and position sizing, to preserve capital under volatile market conditions.
Best For
- Beginner investors seeking a structured foundation in long-term wealth building.
- Individuals looking to transition from speculative trading to systematic, fundamental equity research.
- Retirement planners who want to master asset allocation and risk management techniques.
- Learners interested in a professional fund manager's perspective on market cycles and corporate evaluation.
Not For
- Day traders looking for quick, high-frequency scalping strategies or technical chart patterns.
- Experienced professional portfolio managers already well-versed in advanced institutional research models.
- Individuals seeking 'get rich quick' schemes or speculative crypto-day-trading advice.
- Those looking for a course focused solely on complex derivative instruments like options or futures.
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