Investment Analysis & Portfolio Management - Core Finance



Investment Analysis & Portfolio Management - Core Finance

Rating 4.5 out of 5 (2730 ratings in Udemy)


What you'll learn
  • Calculate stock returns manually as well as on Excel and Google Sheets, using real world data obtained from free sources.
  • Estimate the Expected Returns of Stocks using the Mean Method, State Contingent Weighted Probabilities, as well as Asset Pricing Models.
  • Calculate the total risk, market risk, and firm specific risk of stocks from scratch, and explore how the different risks interact.
  • Understand why the math works, and why …
Duration 7 Hours 58 Minutes
Paid

Self paced

All Levels

English (US)

15357

Rating 4.5 out of 5 (2730 ratings in Udemy)

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