By completing this course, learners will be able to explain mutual fund concepts, analyze different types of mutual fund schemes, evaluate risk and return drivers, interpret regulatory documents, apply investment analysis techniques, and make informed, goal-based mutual fund investment decisions.

Master Mutual Fund Investing & Analysis

Master Mutual Fund Investing & Analysis

Instructor: EDUCBA
Access provided by Xavier School of Management, XLRI
Recommended experience
What you'll learn
Explain mutual fund structures, NAV calculation, and documentation.
Analyze risk, return drivers, and scheme performance metrics.
Make goal-based mutual fund investment decisions confidently.
Skills you'll gain
Details to know

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16 assignments
February 2026
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There are 4 modules in this course
This module introduces learners to the fundamentals of mutual funds, covering core concepts, benefits, limitations, and the overall ecosystem to build a strong conceptual foundation for mutual fund investing.
What's included
9 videos4 assignments
This module focuses on regulatory documents, NAV mechanics, transactions, and distribution models to help learners understand how mutual funds operate from documentation to execution.
What's included
9 videos4 assignments
This module equips learners with analytical tools and investment strategies by exploring equity, debt, fundamental, technical, and risk analysis techniques used in mutual fund investing.
What's included
9 videos4 assignments
This module emphasizes performance evaluation, scheme selection, risk profiling, inflation impact, and advisory practices to enable goal-oriented and informed mutual fund investing.
What's included
9 videos4 assignments
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