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Lightcast Skills Taxonomy

Stock Markets

About

Stock markets involve buying and selling stocks and securities in order to make a profit. It requires specialized skills in analytical thinking, managing risk, financial analysis, and market research. Success in the stock market often depen...

Skills CategoryFinance
Skills SubcategoryFinancial Trading
Skills TypeSpecialized Skill
Specialized Tags-

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Financial Market

Financial Market is a comprehensive understanding of the dynamics of financial markets, including the trading and valuation of financial assets such as stocks, bonds, and derivatives. This skill involves the ability to analyse market trends, evaluate investment opportunities, and understand the impact of economic factors on market behaviour. It is crucial for strategic decision-making, risk management, and maintaining a competitive edge in the business environment.

Fixed Income refers to a type of investment that provides returns in the form of regular, fixed payments and the eventual return of principal at maturity. This skill encompasses the analysis and management of various fixed income securities, such as bonds and treasury bills, which are used to generate predictable income streams and preserve capital. Knowledge of Fixed Income is applied in portfolio management, risk assessment, and financial planning to optimize investment strategies and ensure stable cash flow.

Long-Only refers to an investment approach that involves taking positions intended to benefit from rising asset prices without using short selling. It is used in portfolio management, asset selection, and market analysis to build exposure to equities, funds, or other assets expected to appreciate. The skill includes evaluating opportunities, managing risk, and aligning holdings with objectives such as capital growth or income from owned assets.

Modern Portfolio Theory refers to a financial framework that aims to maximize expected return for a given level of risk through diversification of investments. This skill involves analyzing the relationship between risk and return, enabling the construction of an optimal portfolio that balances various asset classes. Knowledge of Modern Portfolio Theory is used to guide investment decisions, assess portfolio performance, and manage risk effectively in financial markets.

Portfolio Construction refers to the process of selecting and combining investments to form a portfolio aligned with defined financial objectives, risk tolerance, and time horizon. The skill involves assessing asset classes, diversification, and correlations to balance return potential and risk exposure. In work settings, portfolio construction is used to design and adjust investment portfolios for individuals, institutions, or funds in response to changing market conditions and client requirements.

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This skill is part of the Lightcast Skills Taxonomy, a library of over 35,000 job related skills. It is the standard used by higher education institutions, public sector organizations and Fortune 500 companies around the globe.

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