About this Course
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지금 바로 시작해 나만의 일정에 따라 학습을 진행하세요.

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일정에 따라 마감일을 재설정합니다.

완료하는 데 약 17시간 필요

권장: 4 weeks of study...

영어

자막: 영어

귀하가 습득할 기술

Behavioral FinanceCognitive BiasInvestmentBehavioral Economics

100% 온라인

지금 바로 시작해 나만의 일정에 따라 학습을 진행하세요.

유동적 마감일

일정에 따라 마감일을 재설정합니다.

완료하는 데 약 17시간 필요

권장: 4 weeks of study...

영어

자막: 영어

강의 계획 - 이 강좌에서 배울 내용

1
완료하는 데 4시간 필요

Efficient markets hypothesis and limits of arbitrage

This module introduces the third course in the Investment and Portfolio Management Specialization. In this module, we first present the efficient market hypothesis (EMH) – another pillar idea of modern finance. You will learn about its rationale as well as the empirical evidence that supports and challenges the predictions of the EMH such as anomalies. Finally, we will consider why smart money may sometimes fail to exploit away anomalies in financial markets.

...
9 videos (Total 67 min), 12 readings, 4 quizzes
9개의 동영상
Efficient Markets Hypothesis (EMH)7m
Examples of market efficiency: Market efficiency in real time3m
Three Versions of Efficient Market Hypothesis9m
Event studies6m
Anomalies13m
Mutual fund and analyst performance9m
Smart investor should make markets efficient, right?8m
Efficient Market Hypothesis2m
12개의 읽기 자료
Grading Policy10m
How to use discussion forums10m
Meet & Greet: Get to know your classmates10m
Pre-Course Survey10m
Watch market efficiency in real time10m
Real Time Market Efficiency10m
Lecture Handouts: Efficient Markets Hypothesis (EMH)10m
Lecture Handouts: Are markets efficient?10m
EntreMed Case10m
New Facts in Finance (optional)10m
Lecture Handouts: Limits to arbitrage10m
Module 1: Quiz solutions10m
3개 연습문제
Efficient markets hypothesis10m
Are markets efficient?10m
Efficient markets and limits of arbitrage16m
2
완료하는 데 3시간 필요

Biases and realistic preferences

In this module, we review the behavioral critique of market rationality. In contrast to the presumption that investors are rational, behavioral finance starts with the assumption that they are not. We will examine some of the information-processing and behavioral biases uncovered by psychologists in several contexts. In addition, we will consider alternative, more realistic ways of describing investor preferences.

...
12 videos (Total 75 min), 10 readings, 2 quizzes
12개의 동영상
What are heuristics-driven biases?3m
Representativeness9m
Conservatism and anchoring6m
Overconfidence7m
Frame dependence9m
Mental accounting11m
Realistic preferences3m
Loss aversion or Prospect theory9m
Habit utility4m
Catching up with the Joneses3m
Biases and realistic preferences2m
10개의 읽기 자료
Lecture handouts: Heuristics-driven biases10m
Additional heuristic-driven biases (required)10m
Heuristics and Biases in Retirement Savings Behavior (optional)10m
Behaving Badly (optional)10m
Seven Sins of Fund Management (optional)10m
Lecture handouts: Frame dependence10m
Lecture Handouts: Preferences10m
The Psychology and Neuroscience of Financial Decision Making10m
Psychology of what we do with our money (optional)10m
Module 2: Quiz solutions10m
2개 연습문제
Heuristic driven biases and frame dependence14m
Biases and realistic preferences20m
3
완료하는 데 5시간 필요

Inefficient markets

In this module, we review a number of puzzles related to the aggregate stock market and the cross-section of average stock returns that have been documented in the literature. We examine how the behavioral biases and tendencies discussed in the previous module might result in some of these puzzles observed in financial markets.

...
9 videos (Total 72 min), 2 readings, 4 quizzes
9개의 동영상
Equity premium puzzle9m
Volatility puzzle12m
Closed-end fund puzzle10m
Examples from Closed-End Country Funds5m
Long-run reversals11m
Value effect10m
Momentum9m
Summary1m
2개의 읽기 자료
Lecture handouts: Applications – the Aggregate Stock Market10m
Lecture handouts: Applications – The cross-section of average stock returns10m
2개 연습문제
Applications – the Aggregate Stock Market12m
Applications – The cross-section of average stock returns10m
4
완료하는 데 1시간 필요

Applications: Investor behavior

In this last brief module, we turn our attention to the behavior of individual investors and review the empirical evidence on how behavioral biases and tendencies we discussed in the previous modules affect individual investor portfolio choice and trading decisions.

...
6 videos (Total 24 min), 3 readings, 2 quizzes
6개의 동영상
Failure to Diversify6m
Naïve diversification3m
Excessive trading6m
Individual investors’ buying and selling decision5m
Summary1m
3개의 읽기 자료
Lecture handouts: Investor behavior10m
Module 4: Quiz solutions10m
End-of-Course Survey10m
2개 연습문제
Investor Behavior10m
Applications: Investor behavior16m
4.5
14개의 리뷰Chevron Right

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이 강좌를 통해 확실한 경력상 이점 얻기

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급여 인상 또는 승진하기

Biases and Portfolio Selection의 최상위 리뷰

대학: AHFeb 4th 2017

I've learnt a lot with this course. Sometimes we don't stop to think about how to think on making decision.

대학: OSJan 19th 2017

Great course on application of behavioural finance in business decision making

강사

Avatar

Arzu Ozoguz

Finance Faculty
Jones Graduate School of Business

라이스 대학교 정보

Rice University is consistently ranked among the top 20 universities in the U.S. and the top 100 in the world. Rice has highly respected schools of Architecture, Business, Continuing Studies, Engineering, Humanities, Music, Natural Sciences and Social Sciences and is home to the Baker Institute for Public Policy....

Investment and Portfolio Management 전문 분야 정보

In this four-course Specialization, you’ll learn the essential skills of portfolio management and personal investing. 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. To see an overview video for this Specialization, click here!...
Investment and Portfolio Management

자주 묻는 질문

  • 강좌에 등록하면 바로 모든 비디오, 테스트 및 프로그래밍 과제(해당하는 경우)에 접근할 수 있습니다. 상호 첨삭 과제는 이 세션이 시작된 경우에만 제출하고 검토할 수 있습니다. 강좌를 구매하지 않고 살펴보기만 하면 특정 과제에 접근하지 못할 수 있습니다.

  • 강좌를 등록하면 전문 분야의 모든 강좌에 접근할 수 있고 강좌를 완료하면 수료증을 취득할 수 있습니다. 전자 수료증이 성취도 페이지에 추가되며 해당 페이지에서 수료증을 인쇄하거나 LinkedIn 프로필에 수료증을 추가할 수 있습니다. 강좌 내용만 읽고 살펴보려면 해당 강좌를 무료로 청강할 수 있습니다.

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