By the end of this course, learners will be able to analyze macroeconomic indicators, evaluate exchange rate dynamics, assess equity market valuations using multiple models, and apply valuation insights to informed asset allocation decisions.

Analyze Capital Markets Using Economic and Valuation Models

Analyze Capital Markets Using Economic and Valuation Models

Instructor: EDUCBA
Access provided by ExxonMobil
Recommended experience
What you'll learn
Analyze macroeconomic indicators and exchange rate movements.
Apply relative and asset-based models to evaluate equity markets.
Form capital market expectations to guide asset allocation decisions.
Details to know

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6 assignments
February 2026
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There are 2 modules in this course
This module develops a macroeconomic foundation for capital market analysis by examining key econometric and economic indicators, structured evaluation frameworks, and the relationship between economic output, exchange rates, and market expectations to support informed investment decision-making.
What's included
5 videos3 assignments
This module applies macroeconomic expectations to equity market valuation by exploring absolute, relative, and asset-based valuation models and demonstrating how valuation insights inform strategic asset allocation decisions across asset classes.
What's included
6 videos3 assignments
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