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    • Portfolio Management

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    295 results for "portfolio management"

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      Rice University

      Investment and Portfolio Management

      Skills you'll gain: Finance, Investment Management, Behavioral Economics, Business Psychology, Risk Management, Accounting, Data Analysis, Financial Management, Securities Trading, Business Analysis, Financial Analysis, Leadership and Management, Market Analysis, Marketing, Microsoft Excel, Performance Management, Probability & Statistics, Spreadsheet Software, Strategy and Operations

      4.5

      (2.4k reviews)

      Beginner · Specialization · 3-6 Months

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      University of Geneva

      Portfolio and Risk Management

      Skills you'll gain: Finance, Investment Management, Risk Management, Correlation And Dependence, Data Visualization, Market Analysis, Marketing, Plot (Graphics), Probability & Statistics, Leadership and Management

      4.7

      (2.3k reviews)

      Mixed · Course · 1-4 Weeks

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      Coursera Project Network

      Portfolio Optimization using Markowitz Model

      Skills you'll gain: Business Analysis, Correlation And Dependence, Finance, General Statistics, Investment Management, Risk Management, Spreadsheet Software, Leadership and Management, Microsoft Excel

      4.4

      (273 reviews)

      Intermediate · Guided Project · Less Than 2 Hours

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      Rice University

      Investment Strategies and Portfolio Analysis

      Skills you'll gain: Finance, Investment Management, Risk Management, Accounting, Business Analysis, Data Analysis, Financial Analysis, Leadership and Management, Performance Management, Strategy and Operations

      4.2

      (258 reviews)

      Mixed · Course · 1-4 Weeks

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      EDHEC Business School

      Introduction to Portfolio Construction and Analysis with Python

      Skills you'll gain: Computer Programming, Finance, Investment Management, Python Programming, Statistical Programming, Risk Management, Accounting, Business Analysis, Data Analysis, Financial Analysis, Statistical Analysis

      4.8

      (1.3k reviews)

      Mixed · Course · 1-4 Weeks

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      University of Illinois at Urbana-Champaign

      Financial Management

      Skills you'll gain: Accounting, Finance, Financial Accounting, Investment Management, Financial Management, Risk Management, Business Analysis, Data Analysis, Financial Analysis, Corporate Accouting, General Accounting, Accounts Payable and Receivable, Probability & Statistics, General Statistics, Leadership and Management, Forecasting, Generally Accepted Accounting Principles (GAAP), Mergers & Acquisitions, Regression, Securities Sales, Taxes, Basic Descriptive Statistics, Data Analysis Software, Statistical Analysis

      4.7

      (6.2k reviews)

      Intermediate · Specialization · 3-6 Months

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      Columbia University

      Financial Engineering and Risk Management

      Skills you'll gain: Finance, Probability & Statistics, Risk Management, Mathematics, General Statistics, Probability Distribution, Investment Management, Mathematical Theory & Analysis, Securities Sales, Securities Trading, Accounting, Audit, Algebra, Calculus, Correlation And Dependence, Linear Algebra, Applied Mathematics, BlockChain, Communication, Computer Programming, Entrepreneurship, FinTech, Leadership and Management, Machine Learning, Markov Model, Product Marketing, Sales, Strategy

      4.4

      (142 reviews)

      Intermediate · Specialization · 3-6 Months

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      HEC Paris

      Investment Management in an Evolving and Volatile World by HEC Paris and AXA Investment Managers

      Skills you'll gain: Entrepreneurship, Investment Management, Leadership and Management, Business Analysis, Risk Management, Business Psychology, Organizational Development, Spreadsheet Software, Securities Sales, Securities Trading

      4.6

      (719 reviews)

      Intermediate · Course · 1-4 Weeks

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      Coursera Project Network

      Portfolio Diversification using Correlation Matrix

      Skills you'll gain: Business Analysis, Correlation And Dependence, Data Analysis, Finance, Financial Analysis, General Statistics, Leadership and Management, Probability & Statistics, Corporate Accouting, Risk Management

      4.5

      (246 reviews)

      Intermediate · Guided Project · Less Than 2 Hours

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      University of Geneva

      Investment Management

      Skills you'll gain: Finance, Investment Management, Risk Management, Financial Management, Regulations and Compliance, Securities Trading, Banking, Behavioral Economics, Business Psychology, Correlation And Dependence, Data Visualization, Financial Analysis, Market Analysis, Marketing, Plot (Graphics), Probability & Statistics, Accounting, Business Analysis, Data Analysis, Decision Making, Entrepreneurship, Leadership and Management, Performance Management, Strategy and Operations

      4.7

      (7k reviews)

      Beginner · Specialization · 3-6 Months

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      Free

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      Yale University

      Financial Markets

      Skills you'll gain: Finance, Banking, Investment Management, Risk Management, Securities Trading, Financial Management, Regulations and Compliance, Securities Sales, Underwriting, Business Psychology, Behavioral Economics, Accounting, Adaptability, Budget Management, Innovation, Media Strategy & Planning, Resilience, Taxes, Business Analysis, Business Process Management, Corporate Accouting, Data Analysis, Entrepreneurship, Financial Analysis, Generally Accepted Accounting Principles (GAAP), Probability & Statistics, Statistical Tests, Strategy and Operations

      4.8

      (24.5k reviews)

      Beginner · Course · 1-3 Months

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      Indian School of Business

      Creating a Portfolio

      Skills you'll gain: Finance, Investment Management, Risk Management, Accounting, Business Analysis, Data Analysis, Entrepreneurship, Financial Analysis, Leadership and Management, Market Research, Research and Design

      4.4

      (296 reviews)

      Beginner · Course · 1-4 Weeks

    Searches related to portfolio management

    investment and portfolio management
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    In summary, here are 10 of our most popular portfolio management courses


      Frequently Asked Questions about Portfolio Management

      • Portfolio management is the process of assembling and overseeing a selection of investments in stocks, bonds, and other securities that meet a particular investor’s desired balance of risk and expected return. Efficient portfolio construction and management are critically important for building wealth over the long term, enabling investors to earn more over time than just putting money in an interest-bearing savings account while avoiding the risk of attempting to pick individual stocks and “beat the market.”

        Most strategies for portfolio optimization are based in modern portfolio theory, which is founded on the insight that evaluations of risk and return should be made about an entire collection of assets, not just individual assets. Thus, portfolio optimization is pursued by combining assets with different risk profiles that balance each other out in aggregate and minimize the overall portfolio risk for a given expected return. Statistical analyses of variance in price movements and correlations between assets are relied upon to build this efficient diversified portfolio.

        Other portfolio theories have emerged to remedy perceived flaws in modern portfolio theory, giving portfolio managers additional tools. For example, post-modern portfolio theory seeks to more aggressively minimize downside risks, claiming that modern portfolio theory fails to adequately distinguish between regular small losses and rarer but more dangerous catastrophic declines in the market. Behavioral finance has also critiqued conventional portfolio management strategies for failing to account for the role of cognitive biases of investors and the market at large.‎

      • Portfolio management is an art as well as a science, and professionals in this field must be skilled at analyzing a basket of different securities as well as working with investors to determine their desired combination of risk and return. Because of the enormous value that can be generated by an efficient diversified portfolio over time, this expertise is always in high demand - and is highly compensated. According to the Bureau of Labor Statistics, financial managers earned a median annual salary of $129,890 in 2019, and these jobs are expected to grow much faster than average.‎

      • Absolutely. Coursera offers an incredibly wide range of opportunities to learn about business and finance, including individual courses as well as Specializations spanning multiple courses. Coursera also gives you the chance to learn about portfolio management from top-ranked universities from around the world, including Yale University, University of Illinois at Urbana-Champaign, Rice University, University of Geneva, and the Indian School of Business. And, since you can learn on Coursera for a significantly lower tuition than on-campus students, your valuable education in portfolio management is sure to be a smart investment.‎

      • Math is one of the skills you may benefit from having before you start learning portfolio management. Accounting and computer science skills can also be helpful. Strong reading skills can help you when processing large amounts of details. Analytical ability is typically important when learning how to navigate the stock market, and the ability to work alone can help you when mastering these financial concepts. Some other skills that may help you in portfolio management include people skills that can help when dealing with clients and organizational skills that can make it easy to keep track of precise financial details.‎

      • People who have strong interpersonal skills and communications skills are typically best suited for portfolio management roles. This is because explaining complex details to clients is often a key role of the job. People who enjoy analytical thinking and who enjoy poring over details may also be suited to portfolio management. This is because portfolio managers may spend large amounts of time each day analyzing stock market trends and looking for patterns to predict which stocks are likely to go up or down. Being deeply curious and driven to succeed are also qualities that can help a portfolio manager perform well.‎

      • Common career paths for people in portfolio management include personal financial advisors who work directly with individual investors and financial analysts who help both individuals and businesses make financial decisions, according to the Bureau of Labor Statistics. Budget analysts who may help clients with budget planning and financial managers who may help clients with long-term financial goal setting as well as budget planning are two other potential career paths for a portfolio management professional. Portfolio management professionals may also find a niche in teaching, where they typically help others learn the fine points of investing and managing a portfolio.‎

      • Some topics you can study that are related to portfolio management include investment management and how to use some of the software programs portfolio managers typically use, such as Python and spreadsheets. Business writing, interpersonal communications, and how to give presentations are other courses you could study that can be useful when working as a portfolio manager. These are typically helpful because of the need to communicate with clients about investments.‎

      This FAQ content has been made available for informational purposes only. Learners are advised to conduct additional research to ensure that courses and other credentials pursued meet their personal, professional, and financial goals.
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