investment portfolio

  1. Coursera

    Coursera Investment Strategies and Portfolio Analysis

    Overview In this course, you will learn about latest investment strategies and performance evaluation. You will start by learning portfolio performance measures and discuss best practices in portfolio performance evaluation. You will explore different evaluation techniques such as style analysis...
  2. Coursera

    Coursera Computational Investing, Part I

    Overview Why do the prices of some companies’ stocks seem to move up and down together while others move separately? What does portfolio “diversification” really mean and how important is it? What should the price of a stock be? How can we discover and exploit the relationships between equity...
  3. Coursera

    Coursera Investments I: Fundamentals of Performance Evaluation

    Overview In this course, we will discuss fundamental principles of trading off risk and return, portfolio optimization, and security pricing. We will study and use risk-return models such as the Capital Asset Pricing Model (CAPM) and multi-factor models to evaluate the performance of various...
  4. Coursera

    Coursera Investments II: Lessons and Applications for Investors

    Overview In this course, you will start by reviewing the fundamentals of investments, including the trading off of return and risk when forming a portfolio, asset pricing models such as the Capital Asset Pricing Model (CAPM) and the 3-Factor Model, and the efficient market hypothesis. You will...
  5. Coursera

    Coursera Meeting Investors' Goals

    Overview In this course, you will dive into the concepts of rationality and irrationality and understand how they impact our investment decisions and what the consequences can be at the market level. You will first explore the different biases that we, as humans, are subjected to when facing...
  6. Coursera

    Coursera Portfolio and Risk Management

    Overview In this course, you will gain an understanding of the theory underlying optimal portfolio construction, the different ways portfolios are actually built in practice and how to measure and manage the risk of such portfolios. You will start by studying how imperfect correlation between...