

Financial Analysis: Portfolios, Risks, Strategic Decisions
- Offered byCoursera
- Public/Government Institute
Financial Analysis: Portfolios, Risks, Strategic Decisions at Coursera Overview
Duration | 1 hour |
Start from | Start Now |
Mode of learning | Online |
Difficulty level | Beginner |
Official Website | Go to Website |
Credential | Certificate |
Financial Analysis: Portfolios, Risks, Strategic Decisions at Coursera Highlights
- Earn a certificate after completion of course
- Flexible schedule learn at your own pace
Financial Analysis: Portfolios, Risks, Strategic Decisions at Coursera Course details
Gain fundamental knowledge of financial strategies, portfolio design, and risk management
Learn to construct portfolios tailored to specific investment goals, incorporating real-world examples to understand practical applications
Master advanced risk management principles and regulatory knowledge to protect investments and optimize financial planning
Understanding the basics of financial strategies, portfolio design, and risk management is key to making informed investment decisions and building a solid financial foundation
This knowledge is fundamental for anyone looking to navigate the financial markets effectively and crafting portfolios that are resilient to market fluctuations
The importance of this understanding ensures that their financial decisions align with their long-term goals and risk tolerance
Financial Analysis: Portfolios, Risks, Strategic Decisions at Coursera Curriculum
Financial Analysis: Portfolios, Risks, Strategic Decisions
Understanding the basics of financial strategies, portfolio design, and risk management is key to making informed investment decisions and building a solid financial foundation
This knowledge is fundamental for anyone looking to navigate the financial markets effectively and crafting portfolios that are resilient to market fluctuations
Portfolio Foundations
Foundations of Portfolio Design
Introduction to Risk Management
Investment Monthly Asset Class Views
Navigating Investment Regulations