Module: Simulated Portfolio Management
Immerse yourself in a thrilling educational challenge, inspired by the greatest TV game shows, and test your skills in Finance, Management Control & Procurement through an original and fun format. This module can be taken independently or integrated into the overall course dedicated to Finance, Management Control & Purchases.
You will have to correctly answer 15 successive questions to reach the top, taking care not to fall into the classic traps that await both beginners and experienced investors.
What awaits you:
- A tiered game with 3 levels of progress:
- Level 1: Basic questions on financial fundamentals
- Level 2: Contextualization and applied questions
- Level 3: Strategic mastery and advanced analysis
- 3 jokers to help you progress:
- 50/50 hint: eliminate two incorrect answers
- Call an expert: get contextual help on the subject
- Second chance: a new attempt on a wrong answer
- An engaging and scripted atmosphere that stimulates active memorization and learning through Game
- Questions based on real-life situations related to portfolio management, diversification, arbitrage, and performance monitoring
Objective: Review or validate your understanding of the key concepts of simulated portfolio management, while developing your analytical and decision-making reflexes in a dynamic environment. An ideal format for self-assessment or preparing for an exam or a position in asset management.
Who is it for?
- Finance students looking to consolidate their skills
- Junior professionals in asset management or management control
- Anyone wishing to test their skills in an interactive way
A fun, strategic, and incredibly effective module for making rapid progress while having fun.