Alternative Approaches to Valuation and Investment

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课程简介

The University of Melbourne

课程大纲

This week we will define a statistical measure of stand-alone risk as being the standard deviation of returns. We will describe three alternative attitudes towards risk, settling on risk aversion as being the standard assumption made in financial markets. We will then analyse the impact of combining assets into a portfolio upon both risk and return and then quantify the benefits from diversification by comparing performance against a suitable benchmark.

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In this course, participants will develop an understanding of the intuitive foundations of asset and investment valuation, and how alternative valuation techniques may be used in practice. This is part of a Specialization in corporate finance created in partnership between the University of Melbourne and Bank of New York Mellon (BNY Mellon). View the MOOC promotional video here: http://tinyurl.com/h75pzt6

评估和投资的替代方法:在本课程中,参与者将了解资产和投资评估的直观基础,以及如何在实践中使用替代评估技术。这是墨尔本大学和纽约梅隆银行(BNY Mellon)合作建立的公司财务专业化计划的一部分。 在此处观看MOOC促销视频:http://tinyurl.com/h75pzt6

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