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  • Skills you'll gain: Portfolio Risk, Portfolio Management, Risk Management, Financial Market, Investments, Correlation Analysis, Analysis, Statistics

  • 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

  • University of Geneva

    Skills you'll gain: Portfolio Management, Risk Management, Portfolio Risk, Investment Management, Risk Analysis, Investments, Risk Modeling, Asset Management, Wealth Management, Risk Appetite, Financial Market, Correlation Analysis, Variance Analysis

  • Indian School of Business

    Skills you'll gain: Portfolio Management, Portfolio Risk, Financial Trading, Investment Management, Performance Analysis, Financial Market, Securities Trading, Performance Measurement, Investments, Return On Investment, Risk Mitigation, Market Dynamics, Text Mining, Financial Regulations, Risk Management, Financial Regulation, Compliance Management, Risk Analysis, Regulatory Requirements, Benchmarking

  • Skills 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

  • 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

What brings you to Coursera today?

  • 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

  • Skills you'll gain: Portfolio Management, Portfolio Risk, Investment Management, Investments, Financial Modeling, Risk Modeling, Estimation, Statistical Methods, Bayesian Statistics, Python Programming, Risk Analysis, Correlation Analysis, Time Series Analysis and Forecasting

  • Skills you'll gain: Portfolio Management, Investment Management, Performance Measurement, Portfolio Risk, Performance Analysis, Return On Investment, Investments, Financial Market, Financial Analysis, Risk Analysis, Wealth Management, Analysis, Benchmarking

  • 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

  • Skills you'll gain: Risk Modeling, Portfolio Risk, Financial Market, Risk Management, Market Data, Risk Analysis, Probability Distribution, R (Software), Financial Data, Return On Investment, R Programming, Portfolio Management, Statistical Programming, Securities (Finance), Equities, Time Series Analysis and Forecasting, Statistical Modeling, Data Access

  • Skills you'll gain: Portfolio Management, Portfolio Risk, Investment Management, Risk Management, Financial Management, Wealth Management, Finance, Financial Market, Investments, Financial Planning, Business Strategies, Financial Analysis, Asset Management, Risk Analysis, Investment Banking, Market Dynamics, Market Trend, Performance Measurement, Quantitative Research, Case Studies