Understanding Financial Markets

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University of Geneva

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In this course, you will learn what the main financial markets and their characteristics are as well as how they are linked to the economy. Our very diversified team of experts will start by teaching you how the price of stocks and bonds are computed and why they move while you will become increasingly aware of the notion of risk and why it matters when measuring an investment's performance. The focus will then move to less popular markets such as gold, emerging markets, real estate, hedge funds and private markets. These will be analyzed with an emphasis on their particular risks and return opportunities as well as how they can help in building efficient portfolios. Finally, the policies of central banks and their impact on financial markets will be presented to you along with the link between the economy and the price of financial assets. All along these different steps, experts from UBS, our corporate partner, will show you how the concepts you just acquired are effectively applied in a leading global bank. This focus on practicality means you will not only understand what is going on in global financial markets but also start to figure out how you can use them to achieve financial goals, be it a client's or your own. Course Director and main teaching contributor: Dr. Michel Girardin, Lecturer in Macro-Finance, University of Geneva

了解金融市场:在本课程中,您将学习主要的金融市场及其特征以及它们与经济的联系。 我们非常多元化的专家团队将首先教您如何计算股票和债券的价格,以及它们为什么移动,同时您将越来越意识到风险的概念以及在衡量投资绩效时重要性的重要性。然后,重点将转移到不太受欢迎的市场,例如黄金,新兴市场,房地产,对冲基金和私人市场。将对这些风险进行分析,重点是它们的特定风险和回报机会,以及它们如何帮助建立有效的投资组合。最后,将向您介绍中央银行的政策及其对金融市场的影响,以及经济与金融资产价格之间的联系。 在所有这些不同的步骤中,我们的企业合作伙伴瑞银(UBS)的专家将向您展示您刚刚获得的概念如何在领先的全球银行中得到有效应用。对实用性的关注意味着您不仅将了解全球金融市场的发展趋势,而且还将开始弄清楚如何使用它们来实现金融目标,无论是客户的还是您自己的。 课程主任和主要教学贡献者:日内瓦大学宏观金融学讲师Michel Girardin博士

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