CFD and Derivatives Trading Training

CFD and Derivatives Trading Training

The training ‘'Derivatives Trading'’ Developed by Xeilos Trading, this course is designed to enable learners to specialize in commodity trading, particularly oil and gold, Forex trading, especially the Euro/Dollar and spread trading, as well as monitoring asset performance in the market. Participants will learn to make informed investment decisions using financial indicators and evaluation models.

Training duration

72 hours 

Personalized Appointment

Remote

Price

The strengths of the training

Acquire the skills of Block 2 in Market Finance
Are you looking to become a trader?
BECOME A SPREAD EXPERT PROGRAM

This course explores the basics of spreads in financial markets, analyzes their types and influencing factors, and presents associated trading strategies to profit from spread variations.

BECOME A FOREX EXPERT PROGRAM

This course covers the basics of the foreign exchange market, including currency pairs, influential economic and political factors, technical indicators, and risk management principles in forex trading.

PROGRAM TO BECOME A RAW MATERIALS EXPERT

This course explores the types of commodities, their influence on global markets, analyzes the fundamentals of commodity markets, and teaches the principles of risk management in trading these assets.

Training Objectives

This training will allow you to acquire mastery of all the skills and knowledge necessary for Commodity Trading, FOREX and Spread Trading:

BECOME A SPREAD EXPERT program
  • Mastering Spread Trading.
  • Gain a thorough understanding of the different types of spread
  • Analyze the economic, political, and geopolitical factors that influence spreads, and use technical and fundamental analysis techniques.
  • Develop and implement trading strategies based on spread analysis
BECOME A FOREX EXPERT PROGRAM
  • Mastery of FOREX Trading.
  • Develop a thorough understanding of the mechanisms and participants in the foreign exchange market.
  • Acquire the ability to analyze and interpret economic, political and technical data
  • Use risk management strategies
PROGRAM TO BECOME A FIRST-CLASS EXPERT
  • Expertise in Commodity Trading. 
  • Gain in-depth knowledge of different types of raw materials, including gold and oil.
  • Develop advanced skills in analyzing the fundamentals and trends of commodity markets.
  • Managing the risk associated with commodity trading.

Elements of the training

BECOME A SPREAD EXPERT PROGRAM

Mastering the Fundamentals and Strategies of Spreading
  • Understand the basics and fundamental concepts of the spread in financial markets.
  • Learn to analyze and interpret different types of spreads, such as bid-ask spreads, credit spreads, and yield spreads.
  • Study the main factors that affect the spread, such as liquidity, credit risk, market conditions and macroeconomic events.
  • Explore the different trading strategies that exploit spread variations to generate profits, such as convergence trading and directional trading.

PROGRAM TO BECOME A RAW MATERIALS EXPERT

Dominate the Commodity Markets: Focus on Gold and Oil
  • Understanding the different types of raw materials, including energy, agricultural and metallic raw materials, and their importance in global markets.
  • Learn to analyze the fundamentals of commodity markets, such as supply and demand, market cycles, and the economic and geopolitical factors that influence prices.
  • Understand the principles of risk management in commodity trading, including portfolio diversification, position sizing, and the use of stop-loss orders.

The Program Derivative products – de Xeilos prepares you to become an expert in all professions related to investments in financial instrument markets.

BECOME A FOREX EXPERT PROGRAM

Navigate the Foreign Exchange Markets with Confidence
  • Understand the basics of the foreign exchange market, including currency pairs, trading sessions, and key market players.
  • Learn to analyze the economic and political factors that influence exchange rates, such as economic indicators, central bank decisions, and geopolitical events.
  • Study the technical indicators used to identify trends and entry/exit points in the foreign exchange market.
  • Understand the principles of risk management in forex trading, including position size, risk-reward ratio and stop-loss orders.
THE TRADERS' SCHOOL

XEILOS' STRENGTHS

Xeilos Trading Its aim is to democratize access to finance professions, which are often considered luxury careers. We firmly believe that everyone has the potential to earn a good living through trading and that the field of finance is accessible to all.

Join us to discover that it's possible!

SUMMARY of the Program

Overview of Content and Key Points

The Program

Derivatives Products Program

General course

1. Financial and economic study

  • Training & Sources : Understand the economic basics, the cycles, and identify reliable sources of information.
  • Data Collection & Analysis : Monitor economic indicators, analyze trends qualitatively and quantitatively.
  • Interpretation & Strategy : To project future economic phases, understand their impact on investments, develop a strategy and assess the risks.
  • Report & Reassessment Document and present the results, and adjust the strategy.

2. Asset Allocation Strategy

  • Foundations & Analysis : Understanding the economy, sectors, relevant indicators, and analytical tools.
  • Forecasting & Communication : Use predictive models, anticipate risks, and communicate results for strategic adjustment.

3. Investment Identification

  • Fundamentals & Techniques : Use fundamental, technical, and chart analysis to evaluate potential investments.
  • EES criteria : Integrate ethical, environmental and social criteria into the investment strategy.

4. Bond Selection

  • Foundations & Analysis : Understand the characteristics of bonds and risks, evaluate issuers and identify opportunities.
  • Portfolio & Tracking Diversify, create a strategy, and rebalance according to market conditions.

5. Portfolio optimization

  • Risk Analysis & Management : Study the indices, analyze the listed values, and establish a timing strategy.
  • Monitoring & Improvement : Monitor performance, evaluate investments, and continuously adjust the strategy.

6. Business Development

  • Foundations & Consulting : Follow ethical principles, assess risk profiles, and learn to communicate effectively.
  • Conclusion & Follow-up Formalize transactions, plan regular updates, and participate in ongoing training.
The Objectives

The program's objectives

This program allows you to acquire mastery of all the skills and knowledge necessary for Commodity Trading, FOREX and Spread Trading:

Prerequisites

Prerequisites

No prerequisites

Training Summary

Overview of Content and Key Points

Derivatives Products Program

General course

1. Financial and economic study

  • Training & Sources : Understand the economic basics, the cycles, and identify reliable sources of information.
  • Data Collection & Analysis : Monitor economic indicators, analyze trends qualitatively and quantitatively.
  • Interpretation & Strategy : To project future economic phases, understand their impact on investments, develop a strategy and assess the risks.
  • Report & Reassessment Document and present the results, and adjust the strategy.

2. Asset Allocation Strategy

  • Foundations & Analysis : Understanding the economy, sectors, relevant indicators, and analytical tools.
  • Forecasting & Communication : Use predictive models, anticipate risks, and communicate results for strategic adjustment.

3. Investment Identification

  • Fundamentals & Techniques : Use fundamental, technical, and chart analysis to evaluate potential investments.
  • EES criteria : Integrate ethical, environmental and social criteria into the investment strategy.

4. Bond Selection

  • Foundations & Analysis : Understand the characteristics of bonds and risks, evaluate issuers and identify opportunities.
  • Portfolio & Tracking Diversify, create a strategy, and rebalance according to market conditions.

5. Portfolio optimization

  • Risk Analysis & Management : Study the indices, analyze the listed values, and establish a timing strategy.
  • Monitoring & Improvement : Monitor performance, evaluate investments, and continuously adjust the strategy.

6. Business Development

  • Foundations & Consulting : Follow ethical principles, assess risk profiles, and learn to communicate effectively.
  • Conclusion & Follow-up Formalize transactions, plan regular updates, and participate in ongoing training.

The program's objectives

This program allows you to acquire mastery of all the skills and knowledge necessary for Commodity Trading, FOREX and Spread Trading:

  • Expertise in Commodity Trading. 
  • Mastery of FOREX Trading.
  • Mastering Spread Trading.
  • Analyze current and future economic trends.
  • Optimize investments by evaluating economic phases.
  • Anticipating market movements through sector analysis.
  • Implement tools for data analysis and retrieval.
  • Selecting Securities and Financial Products for an Investment Portfolio.
  • Monitor and adjust portfolio assets in response to market movements.
  • Use financial indicators to make buying and selling decisions.

Prerequisites

No prerequisites

Explore the potential of CFD and derivatives trading!

FAQ.

Do you have questions about our trading school? Find all the answers in our FAQ section.

What are the prerequisites for joining the school?

No specific diploma is required to join our trading school. However, we prioritize candidates who are passionate and motivated by finance and financial markets.

What are the career opportunities after the training?

Our students have access to a wide range of career opportunities in finance such as trader, portfolio manager, financial analyst, or even head of trading floor.