Investment Analysis & Portfolio Management

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Investment Analysis & Portfolio Management
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Investment Analysis & Portfolio Management

Investment Analysis & Portfolio Management

– Understand stocks, bonds, and mutual funds
– Learn how to evaluate risk vs. return
– Study modern portfolio theory and asset allocation
– Use tools to analyze and optimize investment portfolios
– Track, manage, and rebalance real or simulated portfolios

45.21

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Description

Investment Analysis & Portfolio Management

Course Overview:
This intermediate course dives into the principles of investing and portfolio construction. Ideal for finance students or aspiring investment analysts.

What You’ll Learn:
– Investment vehicles: stocks, ETFs, bonds
– Fundamentals of risk, return, and diversification
– Portfolio theory, CAPM, and efficient frontier
– Asset allocation strategies and rebalancing
– Portfolio monitoring tools and simulation exercises

Course Structure:
9 Modules including investment analysis techniques, risk modeling, and portfolio optimization.

Duration: ~40 hours

Final Statement:
After this course, you’ll be able to construct and manage a diversified investment portfolio using professional methods and tools.