Investment & Portfolio Management

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About Course

All investors – from the largest wealth funds to the smallest individual investors – share common issues in investing: how to meet their liabilities, how to decide where to invest, and how much risk to take on. In this Specialization, you will learn how to think about, discuss, and formulate solutions to these investment questions. You will learn the theory and the real-world skills necessary to design, execute, and evaluate investment proposals that meet financial objectives. You will begin with an overview of global financial markets and instruments that characterize the investment opportunities available to today’s investor. You will then learn how to construct optimal portfolios that manage risk effectively, and how to capitalize on understanding behavioral biases and irrational behavior in financial markets. You will learn the best practices in portfolio management and performance evaluation as well as current investment strategies. By the end of your Capstone Project, you will have mastered the analytical tools, quantitative skills, and practical knowledge necessary for long-term investment management success.

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What Will You Learn?

  • Performance Attribution
  • Behavioral Finance
  • Financial Markets
  • Behavioral Economics
  • Bond Valuation
  • Finance
  • Investment
  • Risk Management
  • Portfolio Construction
  • Risk Analysis
  • Portfolio Optimization
  • Cognitive Bias

Course Content

Introduction

  • Introduction

Portfolio Construction

Efficient Portfolio

Stock Return Model

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