Portfolio and Risk Management

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课程简介

University of Geneva

课程大纲

In this introductory week, you will first be presented with a few mistakes you will no longer make after following this course. In order to avoid making these mistakes, you will start by gaining a foundation and understanding of the three main types of information we need in order to build optimal portfolios: expected returns, risk and dependence.

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课程详情

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 assets leads to diversified and optimal portfolios as well as the consequences in terms of asset pricing. Then, you will learn how to shape an investor's profile and build an adequate portfolio by combining strategic and tactical asset allocations. Finally, you will have a more in-depth look at risk: its different facets and the appropriate tools and techniques to measure it, manage it and hedge it. Key speakers from UBS, our corporate partner, will regularly add a practical perspective on these different topics as you progress through the course.

投资组合和风险管理:在本课程中,您将了解最佳投资组合构建的基础理论,实践中实际构建投资组合的不同方式以及如何衡量和管理此类投资组合的风险。 您将开始研究资产之间不完美的关联如何导致多元化和最优的投资组合,以及资产定价方面的后果。然后,您将学习如何通过结合战略和战术资产分配来塑造投资者的形象并建立适当的投资组合。最后,您将对风险进行更深入的研究:风险的不同方面以及衡量,管理和对冲风险的适当工具和技术。 在您学习本课程的过程中,我们的合作伙伴瑞银集团的主要发言人将定期就这些不同的主题添加实用的观点。

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