Back to Securing Investment Returns in the Long Run
University of Geneva

Securing Investment Returns in the Long Run

In this course, you will learn about the famous dichotomy between active and passive investing, how to appropriately measure and analyze investment performance and what the future trends in the investment management industry are. You will first learn about absolute and relative performance, risk-adjusted returns and how to decompose investment performance. The focus will then shift to the two main categories of investment vehicles, active and passive funds, and what they entail in terms of expected performance. Finally, you will explore the worlds of sustainable finance, neurofinance and fintech, three areas of research that will shape the future of the investment management industry. You will also benefit from the insights of experts from UBS, our corporate partner, on the practical implementation of the various concepts we will develop in this course.

Status: Portfolio Management
Status: Risk Management
Course8 hours

Featured reviews

TC

5.0Reviewed Apr 22, 2020

One of the best course in this specialization, it is very much helpful for proper investment management with sustainability.

CF

5.0Reviewed Dec 1, 2020

A big thank you to all the teachers and gusts! Really good and complete course for those who take the specialization. Thanks again!

AG

5.0Reviewed Feb 12, 2017

Highly in depth and qualified lecturers who do brilliantly to break concepts down, especially Michel Girardin. Congratulations and thanks to all the staff involved

OB

5.0Reviewed Dec 30, 2020

great course, btw dr michel girardin is an excellent instructor and i appreciate his funny jokes and examples.

AT

4.0Reviewed Feb 24, 2021

This part of the specialization provided further theoretical knowledge to expand on other concepts within the entire course. I recommend it if you are interested in investing/investment management.

TX

5.0Reviewed Jan 4, 2017

Course provides a brief but insightful introduction into new trends in Finance, particularly Sustainable Investing, Neurofinance & F

RM

5.0Reviewed Apr 24, 2021

A great way to cap off the previous four courses. I look forward to the fifth one where I will earn the specialization.

SW

5.0Reviewed Dec 21, 2021

Super course and great lecturers, specifially Prof Rajna Gibson, Dr Michel Girardin and Dr Tony Berrada.

JA

5.0Reviewed Aug 26, 2017

Excelente programa, de altĂ­sima calidad y con un nivel muy alto en el profesorado que lo imparte. Totalmente recomendable por su calidad y contenido.

AK

5.0Reviewed Oct 2, 2017

An excellent insight offered from the teaching team on the real world of portfolio management and how best to sustain investment returns over a long time horizon

EG

5.0Reviewed May 24, 2017

Fantastic! Greatly enjoyed the course, especially the module on "Assessing Performance". And of course Michel's animals!

EG

5.0Reviewed May 31, 2020

Very well taught course giving an overview of the fundamentals of sustainable investing both from an individual point of view, and when advising clients.

All reviews

Showing: 20 of 153

Tom Schaber
1.0
Reviewed Nov 20, 2016
VIKRAM KAILTHYA
5.0
Reviewed Jan 21, 2018
Philipp Thomas Kleinert
5.0
Reviewed Sep 30, 2016
Firdaus Khan
5.0
Reviewed May 1, 2020
Kasidis Suwanampai
5.0
Reviewed Sep 13, 2016
Matteo Europeo
4.0
Reviewed Jun 19, 2017
Deleted Account
3.0
Reviewed Aug 9, 2016
Felipe Caballero
3.0
Reviewed Jul 8, 2021
Ayman Gamil
2.0
Reviewed Jul 2, 2020
VAISHALI SINGH
5.0
Reviewed Dec 23, 2022
Alexandre Silwa
5.0
Reviewed Jun 6, 2021
Vinayak Iyer
5.0
Reviewed Apr 20, 2020
Deokumar Gandharry
5.0
Reviewed Nov 18, 2019
Rohini Bhasin
5.0
Reviewed Jun 26, 2020
Arvind Kumar Srivastava
5.0
Reviewed Mar 22, 2019
Tomas Vasconcelos
5.0
Reviewed Jul 26, 2020
Juan Francisco Eduardo Mazzetti
5.0
Reviewed Jan 6, 2021
Valeriy K
5.0
Reviewed Oct 15, 2018
Hmei Deng
5.0
Reviewed Jun 16, 2020
Ramon Vallarino Sierra
5.0
Reviewed Apr 15, 2021