Introduction

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강의 계획서 보기

배우게 될 기술

Risk Management, Portfolio Construction, Risk Analysis, Portfolio Optimization

검토

4.6(449개의 평가)
  • 5 stars
    73.49%
  • 4 stars
    20.49%
  • 3 stars
    2.89%
  • 2 stars
    1.78%
  • 1 star
    1.33%
AS
2019년 8월 17일

One of the finest courses on Coursera. Gives a deep and invaluable insight into Investment and Portfolio Management theories and practices. A must do!

XX
2020년 6월 15일

Professor is great and professional. But the contents in week 2 are too many, I think it could be better they are divided into two-week studying.

수업에서
Module 3: Mean-variance preferences

강사:

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    Arzu Ozoguz

    Finance Faculty

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