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Videos

Relationships Between Assets (2/8): Correlation

In the second video of the series, Abdulla explains the Pearson correlation coefficient. He discusses some of its key characteristics and outlines how to use it, step-by-step, with an example.
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Fixed Income Unlocked (4/4): Bond Risks

Many bond market commentators will use duration as a key measure of the risk of a bond, however, there are plenty of other risks that bond investors are taking on. Lindsey outlines some of these risks, including credit and liquidity risk.
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Volatility (2/4): Measurement

Volatility can be measured for any period. In this video, Abdulla explains the two ways to convert from one period to another.
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Relationships Between Assets (1/8): Covariance

This is the first of a series of videos that examine the relationship between two assets. There are three basic measures that are usually used - this video pertains to covariance. Abdulla explains this method by using an example and outlining the formula.
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Fixed Income Unlocked (3/4): Bond Investment and Risk

In this video, Lindsey covers the investment strategies in bonds and shows the risks and potential returns on these investments.
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Blockchain in Trade Finance – Part II

In this second part of the series, Andrew explains how platforms attempt to solve the challenges faced by trade finance and comments on the safety of these.
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Blockchain in Trade Finance – Part I

Blockchain can be applicable to solving real world problems, specifically in trade finance. In the first part of this two part series, Andrew provides an introduction to blockchain in trade finance and explains how it can be used to address certain challenges.
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Volatility (1/4): An Overview

In this video, Abdulla provides an overview of volatility - a term that is associated with the magnitude of movements in price of an asset over time. 
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Moving Averages (2/2): Weighted and Exponential Moving Averages

In the previous video, Abdulla covered simple or arithmetic moving averages. Here, Abdulla explains a similar concept: the weighted and exponential moving averages. He answers the questions: what are they, how are they calculated and how are they used?
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Probability Distributions (7/7): Z-scores

Standard normal curves and Z-scores are concepts that are often covered at school or college. Abdulla provides a refresher on the subject by outlining an example of a standard normal curve and identifying some useful excel functions to calculate a Z-score.
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