2.5 Measure of Risk: Beta

Loading...
查看授課大綱

您將學習的技能

Calculating the return of a project, Calculating the risk of a project, Valuing Projects, Valuing Companies

審閱

4.8(46 個評分)
  • 5 stars
    39 ratings
  • 4 stars
    5 ratings
  • 3 stars
    1 ratings
  • 2 stars
    1 ratings
AM

Aug 25, 2019

Nice review of fundamental finance principles with an enjoyable instructor

JM

Jan 02, 2020

What an awsome course and the lecturer is super cool

從本節課中
Week 2: Diversification, Risk & Return
During this second week of the course, we will introduce one of the most powerful and intuitive model of modern finance - the Capital Asset Pricing Model (CAPM) - that forms the basis of our understanding of the relation between risk and return.

教學方

  • Gautam Kaul

    Gautam Kaul

    Professor of Finance & Fred M. Taylor Professor of Business Administration

探索我們的目錄

免費加入並獲得個性化推薦、更新和優惠。