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Status: Free TrialColumbia University
Skills you'll gain: Portfolio Management, Investment Management, Portfolio Risk, Asset Management, Investments, Risk Modeling, Estimation, Market Liquidity, Risk Management, Financial Market, Financial Trading, Model Optimization, Equities, Securities (Finance), Statistical Methods, Risk Analysis, Securities Trading, Market Dynamics, Sampling (Statistics), Financial Analysis
Status: FreeSkills you'll gain: Portfolio Management, Portfolio Risk, Finance, Financial Modeling, Return On Investment, Correlation Analysis, Investment Management, Financial Analysis, Asset Management, Mathematical Modeling, Investments, Risk Modeling, Equities, Model Optimization
Status: Free TrialEDHEC Business School
Skills you'll gain: Investment Management, Portfolio Management, Text Mining, Portfolio Risk, Applied Machine Learning, Asset Management, Network Analysis, Investments, Data Visualization Software, Machine Learning Methods, Return On Investment, Statistical Machine Learning, Financial Statement Analysis, Financial Data, Market Data, Unstructured Data, Predictive Modeling, Web Scraping, Finance, Risk Management
Status: Free TrialUniversity 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
Status: Free TrialEDHEC Business School
Skills you'll gain: Investment Management, Portfolio Management, Asset Management, Investments, Portfolio Risk, Machine Learning Methods, Machine Learning, Statistical Machine Learning, Applied Machine Learning, Financial Modeling, Supervised Learning, Model Evaluation, Predictive Analytics, Market Data, Feature Engineering, Unsupervised Learning, Regression Analysis, Statistical Methods, Analysis, Computer Science
Status: Free TrialUniversità di Napoli Federico II
Skills you'll gain: Financial Systems, Financial Market, Portfolio Management, Investments, Equities, Portfolio Risk, Investment Management, Capital Markets, Finance, Securities (Finance), Risk Analysis, Economics, Risk Modeling, Probability Distribution, Decision Making, Correlation Analysis
What brings you to Coursera today?
Status: Free TrialSkills you'll gain: Cash Flow Forecasting, Responsible AI, Cash Management, Accounts Payable, Financial Forecasting, Cash Flows, Accounts Payable and Receivable, Risk Management, Generative AI, Accounting and Finance Software, No-Code Development, Business Process Automation, Forecasting, Accounts Receivable, Prompt Engineering Tools, Regulatory Compliance, AI Integrations, International Financial Reporting Standards, ChatGPT, Automation
Status: Free TrialUniversità di Napoli Federico II
Skills you'll gain: Securities (Finance), Portfolio Management, Equities, Investments, Financial Market, Finance, Portfolio Risk, Investment Management, Risk Modeling, Capital Markets, Statistical Methods, Market Data, Risk Analysis, Regression Analysis, Time Series Analysis and Forecasting, Risk Management
Status: NewStatus: Free TrialSkills you'll gain: Investment Management, Portfolio Risk, Risk Management, Wealth Management
Status: Free TrialEDHEC Business School
Skills you'll gain: Investment Management, Portfolio Management, Portfolio Risk, Investments, Return On Investment, Asset Management, Finance, Risk Modeling, Risk Analysis, Financial Modeling, Risk Management, Financial Analysis, Python Programming, Simulations, Correlation Analysis
Status: Free TrialRice University
Skills you'll gain: Portfolio Risk, Portfolio Management, Investment Management, Risk Modeling, Investments, Financial Market, Risk Management, Equities, Finance, Risk Appetite, Return On Investment, Risk Mitigation, Risk Analysis, Statistical Methods, Probability Distribution, Correlation Analysis, Decision Making, Quantitative Research, Variance Analysis
Status: Free TrialNew 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