Risk, Return & Valuation

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大学或机构: CourseraNew

课程主页: https://www.coursera.org/archive/risk-return-and-valuation

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课程大纲

week 1: What is Risk?
Week 2: Diversification, Risk & Return
week 3: Leverage, WACC & Valuation
Week 4: Putting it All Together!

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课程详情

This course is an introduction to the notion of risk, its relation to return, and the valuation of projects and companies. This is a capstone course to help you value projects and companies by applying your understanding of time value of money (TVM) and cash flows developed in the first three courses of this specialization. This course is part of a specialization titled “Foundational Finance for Strategic Decision Making” and is helpful if you are interested in applying to an MBA degree program or learning the foundations of finance to be more effective in your career. The pedagogy of the course is applied and problem-based with assignments covering every part of the course that each contain multiple problems that, by design, are introductory and simpler than the more real-world applications you will confront in the real world and more advanced courses. The assignments are all designed by the faculty lead and machine graded.

风险,回报和评估:本课程介绍了风险的概念,风险与回报的关系以及项目和公司的评估。这是一门基础课程,可通过应用您对该专业前三门课程中开发的货币时间价值(TVM)和现金流量的理解来帮助您评估项目和公司。本课程是名为“战略决策基础金融”的专业化课程的一部分,如果您有兴趣申请MBA学位课程或学习金融基础以在自己的职业生涯中更有效,该课程将非常有用。 本课程的教学法是基于问题的,适用于课程的每个部分,每个部分包含多个问题,从设计上讲,它们比您在现实世界中遇到的更现实的应用程序更入门,更简单,更高级课程。作业均由教师负责人和机器分级设计。

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