Creating a Portfolio

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课程简介

Indian School of Business

课程大纲

In this module you will lean how to perform style analysis and performance attribution. You will also learn some facts about the mutual fund performance and timing measurement. In the second half of the module you will learn how to calculate the expected returns and risk. The module ends with an understanding of the utility theory.

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课程详情

This course integrates all the learning from the first three courses and guides the learner about ways of building a portfolio of strategies and integrating the same into a hedge fund. In the first part of the course, you will be taught ways of measuring the contribution of a strategy to a portfolio in terms of risk and return. You will be able to appreciate the consequences of including a strategy to a new as well an existing portfolio. Next, you are taught various ways of conducting the tilting analysis in order to determine the optimal weight to be placed on each strategy. After this you will learn to develop techniques for minimizing overall portfolio risk. You will also get a basic overview of the regulatory framework that is applicable to hedge funds. You will know about different types of investors and the expectations of each type of investors.

创建投资组合:本课程将前三门课程的所有学习内容整合在一起,并指导学习者构建策略投资组合并将其整合到对冲基金中的方法。 在课程的第一部分中,将向您介绍如何根据风险和回报来衡量策略对投资组合的贡献。您将能够体会到将策略纳入新的和现有投资组合的后果。 接下来,教给您进行倾斜分析的各种方法,以便确定每种策略的最佳重量。之后,您将学习开发使整体投资组合风险最小化的技术。   您还将获得适用于对冲基金的监管框架的基本概述。您将了解不同类型的投资者以及每种类型的投资者的期望。

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