Using Factor Models to Estimate Expected Returns

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Reviews

4.7 (24 ratings)
  • 5 stars
    18 ratings
  • 4 stars
    4 ratings
  • 3 stars
    2 ratings
MM

Dec 03, 2019

The course is excellent, one of the best finance courses on coursera, but you should know in advance that you will not have any help from the staff, at least that was my experience.

KR

Nov 06, 2019

Very demanding, especially the tests. Extremely interesting lectures and to the point.

Taught By

  • Lionel Martellini, PhD

    Lionel Martellini, PhD

    EDHEC-Risk Institute, Director
  • Vijay Vaidyanathan, PhD

    Vijay Vaidyanathan, PhD

    Optimal Asset Management Inc.

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