All Results

University of Geneva
Skills you'll gain: Financial Systems, Financial Market, Capital Markets, Portfolio Management, Investments, Market Dynamics, Equities, Investment Management, Investment Banking, Portfolio Risk, Financial Policy, Economics, Risk Analysis, Banking, Asset Management, Risk Management

Università di Napoli Federico II
Skills you'll gain: Market Liquidity, Bank Regulations, Derivatives, Securities Trading, Financial Regulation, Financial Market, Securities (Finance), FinTech, Financial Systems, Banking, Financial Trading, Financial Services, Market Dynamics, Financial Regulations, Financial Statement Analysis, Commercial Banking, Investments, Futures Exchange, Risk Modeling, Finance

Alfaisal University | KLD
Skills you'll gain: Financial Market, Derivatives, Investments, Capital Markets, International Finance, Financial Trading, Securities (Finance), General Finance, Securities Trading, Market Liquidity, Finance, Investment Management, Financial Management, Risk Analysis, Return On Investment

Yale University
Skills you'll gain: Financial Regulations, Investment Banking, Financial Market, Financial Systems, Risk Management, Financial Regulation, Securities (Finance), Portfolio Risk, Financial Management, Financial Services, Financial Industry Regulatory Authorities, Capital Markets, Finance, Equities, Banking, Portfolio Management, Investments, Bank Regulations, Behavioral Economics, Governance

University of Geneva
Skills you'll gain: Portfolio Management, Wealth Management, Risk Management, Financial Systems, Investment Management, Financial Market, Portfolio Risk, Capital Markets, Risk Analysis, Risk Modeling, Investments, Asset Management, Performance Measurement, Market Dynamics, Environmental Social And Corporate Governance (ESG), Financial Planning, Risk Appetite, Finance, Equities, Investment Banking

University of Michigan
Skills you'll gain: Financial Modeling, Market Data, Financial Statement Analysis, Financial Analysis, Cash Flows, Loans, Financial Statements, Finance, Portfolio Risk, Risk Management, General Finance, Portfolio Management, Financial Planning, Return On Investment, Business Valuation, Corporate Finance, Mortgage Loans, Excel Formulas, Equities, Investments
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University of Illinois Urbana-Champaign
Skills you'll gain: Investment Management, Finance, Investments, Business Valuation, Portfolio Management, Financial Market, Equities, General Finance, Financial Analysis, Regression Analysis, Corporate Finance, Portfolio Risk, Asset Management, Microsoft Excel, Risk Analysis, Correlation Analysis, Performance Analysis, Cash Flows

New York Institute of Finance
Skills you'll gain: Portfolio Risk, Risk Management, Risk Modeling, Financial Market, Derivatives, Risk Management Framework, Investment Management, Portfolio Management, Risk Analysis, Market Data, Equities, Asset Management, Estimation, Financial Modeling, Statistical Modeling, Probability Distribution, Statistical Analysis, Probability & Statistics

University of Michigan
Skills you'll gain: Market Data, Finance, General Finance, Financial Planning, Corporate Finance, Financial Analysis, Financial Market, Securities (Finance), Investments, Financial Data, Equities, Investment Management, Capital Markets, Cash Flows

University of Illinois Urbana-Champaign
Skills you'll gain: Financial Market, Capital Budgeting, Financial Management, Finance, General Finance, Investments, Securities (Finance), Equities, Capital Markets, Decision Making, Return On Investment, Market Data, Risk Management, Cash Flows, Risk Analysis

McMaster University
Skills you'll gain: Financial Market, Financial Systems, Securities (Finance), Capital Markets, Financial Trading, Derivatives, Equities, Financial Policy, Finance, International Finance, Investments, Market Dynamics, Market Analysis

Skills you'll gain: Derivatives, Enterprise Risk Management (ERM), Risk Management Framework, Financial Market, Risk Management, Futures Exchange, Risk Analysis, Financial Services, Financial Trading, Credit Risk, Operational Risk, Market Liquidity, Financial Analysis, Risk Mitigation, Correlation Analysis, Investment Management, Quantitative Research, Probability & Statistics, Market Dynamics, Probability