Securing Investment Returns in the Long Run

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课程简介

University of Geneva

课程大纲

Welcome to the course and this introductory module! After reviewing some mistakes you will no longer make after following this course and some useful things to know before the course, we will dive into one of the main topics of this course: the active versus passive investment management debate.

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In this course, you will learn about the famous dichotomy between active and passive investing, how to appropriately measure and analyze investment performance and what the future trends in the investment management industry are. You will first learn about absolute and relative performance, risk-adjusted returns and how to decompose investment performance. The focus will then shift to the two main categories of investment vehicles, active and passive funds, and what they entail in terms of expected performance. Finally, you will explore the worlds of sustainable finance, neurofinance and fintech, three areas of research that will shape the future of the investment management industry. You will also benefit from the insights of experts from UBS, our corporate partner, on the practical implementation of the various concepts we will develop in this course.

从长远来看确保投资回报:在本课程中,您将学习主动投资与被动投资之间的著名二分法,如何适当地衡量和分析投资绩效以及投资管理行业的未来趋势。 您将首先了解绝对和相对绩效,风险调整后的收益以及如何分解投资绩效。然后,重点将转移到投资工具的两个主要类别,即主动和被动资金,以及它们在预期绩效方面的含义。最后,您将探索可持续金融,神经金融和金融科技这三个领域,这些领域将塑造投资管理行业的未来。 您还将受益于我们公司合作伙伴瑞银的专家对我们将在本课程中开发的各种概念的实际实施的见解。

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