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عربي

course

Financial Derivatives and Options Contracts

Why Attend

This course explores the concept of financial derivatives, with a particular focus on Options Contracts as one of the most important financial instruments used in global markets. It examines the mechanics of call and put options, the differences between options and futures contracts, and their role in hedging risks and managing investment portfolios. The course also highlights the advantages, challenges, and risks associated with options trading, emphasizing the importance of understanding these instruments to make informed investment decisions and achieve optimal investment outcomes.

Overview

Course Outline

Schedule & Fees

Methodology

The course adopts an interactive training approach that combines theoretical knowledge with practical application through:

Interactive lectures

Analysis of real-world financial market case studies

Evaluation of various investment scenarios

Practical exercises on hedging and risk management strategies

Group discussions and knowledge-sharing sessions

Course Objectives

By the end of this course, participants will be able to:

Understand the concept of financial derivatives and the significance of options contracts in financial markets.

Differentiate between call options and put options and understand how each operates.

Distinguish between options contracts and futures contracts.

Understand the role of options in hedging and risk management.

Apply options contracts in various trading and investment strategies.

Evaluate the advantages and limitations of options contracts.

Recognize the risks associated with financial derivatives and make well-informed investment decisions.

Target Audience

Investors and financial market traders

Professionals working in banks and financial institutions

Portfolio managers

Investment and financial market analysts

Employees of brokerage firms

Individuals seeking to enhance their knowledge of financial derivatives and risk management

Target Competencies

Understanding the fundamentals of financial derivatives

Analyzing options contracts and selecting appropriate trading strategies

Assessing investment risks and returns

Applying hedging techniques using options contracts

Making more effective investment decisions in financial markets

Strengthening risk management capabilities related to financial assets

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