糖心vlog官网观看

The impact of correlation - The benefits of diversification

Video placeholder
Loading...
View Syllabus

Skills You'll Learn

Correlation Analysis, Risk Management, Financial Market, Asset Management, Probability Distribution, Business Risk Management, Investment Management, Portfolio Management, Wealth Management, Market Dynamics, Investments, Finance, Risk Analysis

Reviews

4.7 (2,432 ratings)

  • 5 stars
    75.69%
  • 4 stars
    19.73%
  • 3 stars
    3.61%
  • 2 stars
    0.82%
  • 1 star
    0.12%

CF

Nov 26, 2020

Definitely not for people without economical and some math knowledge, but Great content, and fully recommend for anybody looking to improve their knowledge to better take care of your portfolio!

WM

Sep 11, 2016

Thoroughly engaging presentation of a topic that was very much esoteric to me previously. I would highly recommend this course to anyone looking for insight into portfolio and risk management.

From the lesson

Modern Portfolio Theory and Beyond

Taught By

  • Tony Berrada

    Tony Berrada

    SFI Associate Professor of Finance

  • Ines Chaieb

    Ines Chaieb

    SFI Associate Professor of Finance

  • Jonas Demaurex

    Jonas Demaurex

    Teaching Assistant

  • Rajna Gibson Brandon

    Rajna Gibson Brandon

    SFI Senior Chaired Professor of Finance and Managing Director of the GFRI

  • Michel Girardin

    Michel Girardin

    Visiting Professor in Macro-finance - Project Leader for the "Investment Management" specialization

  • Philipp Krueger

    Philipp Krueger

    SFI Assistant Professor of Finance

  • Kerstin Preuschoff

    Kerstin Preuschoff

    Associate Professor of Neurofinance and Neuroeconomics

  • Olivier Scaillet

    Olivier Scaillet

    SFI Senior Chaired Professor of Finance and Vice-dean (research) at GSEM

Explore our Catalog

Join for free and get personalized recommendations, updates and offers.