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QE01: Economics and Capital Market Analytics-Analysis of Business Impact Trends

QE01: Economics And Capital Market Analytics - Analysis Of Business Impact Trends 

Dates:  29 June 2019 (8.30am - 5.00pm) 
Venue: Securities Commission Malaysia
Accreditation: SIDC 10 CPE Approved

The world economy has strengthened, with monetary and fiscal stimulus underpinning a broad-based and synchronised improvement in growth rates across most countries. This programme will provide updates and a summary of market conditions in helping to understand the business environment in the decision making process.

  • Programme Delivery

    Programme Objective

    This one day programme is designed to enable participants to identify the forces that affect the markets and apply the knowledge in performing related capital market activities.

    Learning Outcomes
    By the end of the programme, participants will:
    • describe the importance of key economic indicators on global market trends
    • discuss the forces that influences the global economy and capital markets
    • evaluate the factors and key indicators affecting the local economy
    • interpret the policy changes and their impact on the capital market


    Interactive presentation and Question-and-Answer (Q&A) sessions

    Target Audience
    Dealers’ representatives, analysts, corporate finance executives, fund managers, corporate strategy executive

    Stockbroking firms, investment and commercial banks, advisory firms, fund management companies.


    Foundational (Product Knowledge) - Capital Market Fundamentals, Capital Market Environment
    Functional (Technical Skills) – Market Analysis
  • Programme Outline

    8.30 am Registration
    9.00 am
    Global Economic Outlook and Trends
    • Year in review – The highlights
    • Global market trends
    • Key economic indicators
    • Crises and opportunities
    10.30 am Coffee Break
    10.45 am Forces That Shape Global Economy and Capital Markets
    • Impact of monetary policies on capital markets
    • Impact of fiscal policies on capital markets
    • Key global and regional risks
    • Demographics and socio-economic impact to markets
    Case Study: Asian Financial Crisis (97/98) &   Global Financial Crisis (2007/2008)
    1.00 pm Lunch
    2.00 pm
    The Malaysian Economy
    • Economic review – The highlights
    • Economic outlook
    • Sectorial development
    • Key challenges for the Malaysian economy
    3.30 pm Coffee Break  
    3.45 pm Market Outlook, Forecast  and Investment Strategy
    • Market review
    • Market outlook
    • Key challenges faced in investing
    • Opportunities and potential key risks
    Case Study: Brexit and its implications to the economy
    5.00 pm End of Programme
  • Programme Fees

    Normal Price
  • About the Speaker

    Mohd Shahjahan has wide exposure in corporate advisory work including strategic management analysis, advising on mergers and acquisitions and business reconstruction; and conducting corporate agreements. He is versatile in tackling contemporary financial issues. Having more than 24 years’ experience in advisory and conducting seminars for more than 3000 people; En Shah is responsible in training various managers and Executives in Permodalan Nasional Berhad and PNB Investment Institute Sdn Berhad, Securities Commission, Johor Corporation, Mara Holding, Malaysia Mining Corporation, Bank Bumiputra, Bank Islam, Petronas and Motorola in the areas of Investment, Finance, Financial Management, Financial And Cost Accounting and Strategic Management.
    En Shah under Capital Consult also has extensive experience conducting various training programmes in finance and investment to Bumiputra Dealers Representatives, Remises and Research Analysts under the Securities Industries Development Centre’s (SIDC) Bumiputra Training Fund scheme since 2000. En Shah has trained more than 2000 licensed and non-licensed representatives of the stock broking industry under the CPE programme since its inception in the year 2000. Under PNB Investment Institute SdnBerhad, He is also conduct various programmes under portfolio management and applied portfolio management, Financial Services Institute of Australasia (Finsia).
    En Shah is a graduate of MSc. (Financial Management) SOAS, University of London, UK and obtained his Chartered Institute of Management Accountants (CIMA, UK) and is currently pursuing his Doctorate in Business Administration.