This course is about understanding how macroeconomics, microeconomics, and geopolitics intersect to shape the financial world we live in. You’ll learn the historical turning points—like the end of the gold standard in 1971 and the rise of the petrodollar system—that continue to influence global markets today. The course explores core macro concepts (GDP, inflation, interest rates, and employment), microeconomic forces (supply and demand, price elasticity, and market structures), and geopolitical dynamics (currency power, trade wars, energy security, and resource control).
Why it’s important: Global economic shifts aren’t abstract—they affect your mortgage, grocery bill, job security, and investment portfolio every day. Understanding these forces helps you see beyond headlines, anticipate risks, and adapt to systemic changes. By connecting the dots between economics and geopolitics, you gain the knowledge to make smarter decisions, protect your financial stability, and position yourself for opportunities in an uncertain world.
Part 11: Economic & Investment Research
Part 10: Cryptocurrency & Digital Assets
Part 9: Investing in Startups & Existing Businesses
Part 8: Real Estate Investing & Mortgages
Part 7: Private Equity
Part 6: Commodities
Part 5: Index Funds & ETFs
Part 4: Dividend Stocks
Part 3: Equities
Part 2: Fixed Income Solutions
Part 1: GICs & Market-Linked GICs “Flexible pricing for every learner — start your journey to mastering finance and investing today.”
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