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學生對 Coursera Project Network 提供的 Investment Risk Management 的評價和反饋

4.5
244 個評分
41 條評論

課程概述

By the end of the project, you will learn how to quantify risk-to-reward using Treynor Ratio, and calculate the value at risk for investment portfolio. ATTENTION: To take this course, it is required that you are familiar basic financial risk management concepts. You can gain them by taking the guided project Compare Stock Returns with Google Sheets. Note: This course works best for learners who are based in the North America region. We're currently working on providing the same experience in other regions. This course's content is not intended to be investment advice and does not constitute an offer to perform any operations in the regulated or unregulated financial market...

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JM

Aug 09, 2020

Another brilliant, practical and very informative course in Mr. Ochilov's series of lectures with the CPN. If you are interested in statistics and finance, you should take this quick course.

SS

Jul 06, 2020

The course is really well structured but rhyme keeps lagging, but the instructor is really good in explaining the concepts!

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1 - Investment Risk Management 的 25 個評論(共 41 個)

創建者 Rohan B G

Jun 29, 2020

Nice for the basic idea for the investment risks but for this particular course i think with quiz you must give a case study and tell us to find all the things and tell us to plot the graph in the end and you access it before the certification.

創建者 Vishesh A

Jun 22, 2020

The same issues as with the other projects in this series. The instructor's voice is not very clear and it is very difficult to understand his accent. The project is too short in my opinion. It'll hardly take 1 hour to complete. The quiz at the end of the project is trivial, and in fact has one wrong answer. With no access to a transcript, it will become difficult at times to understand what the instructor is trying to say. You can very well watch any YouTube videos and tutorials to learn how to calculate Treynors ratio, value at risk (VaR), and Beta.

創建者 Jonathan D M

Aug 09, 2020

Another brilliant, practical and very informative course in Mr. Ochilov's series of lectures with the CPN. If you are interested in statistics and finance, you should take this quick course.

創建者 SATYAM S 1

Jul 06, 2020

The course is really well structured but rhyme keeps lagging, but the instructor is really good in explaining the concepts!

創建者 Avani B P

Jul 23, 2020

Great experience, liked the practical learning concept. Looking for such more courses.

創建者 Md. S A

Jul 21, 2020

Please explain the function briefly why we calculate this to this. Thank You

創建者 Prajit

Jul 01, 2020

it very use full for the college students to do like this kind of stuff

創建者 indria r

Sep 14, 2020

this really helpfull for beginner investors to manage their portofolio

創建者 ad20206

Jul 01, 2020

thank you this course increase my leaning income in risk management

創建者 Avi J

Oct 18, 2020

Very good for understanding portfolio analysis and basics of Risk

創建者 Ronda S R

Jun 16, 2020

The best platform for all project management activities

創建者 Cindy M

Oct 13, 2020

This course helps me to simplify my assignment :)

創建者 VINAYAK M

Jul 18, 2020

Investment Risk Management

Nice Course, Amazing

創建者 Álvaro P F

Oct 01, 2020

Good, but correct the mistake in the final exam

創建者 mohammad I

Oct 15, 2020

very informative to invest in share market

創建者 Kishore

Jun 27, 2020

It is good course about risk managament...

創建者 Johnson A M

Jun 22, 2020

Very good course to learn Treynor Ratio

創建者 msbaljikumar

Jun 27, 2020

This management course is best one

創建者 Saurabh K

Jul 17, 2020

This was nice course for me

創建者 Alnie E N

Sep 04, 2020

Thank you very much!

創建者 Harshvardhan S

Oct 17, 2020

Exceptionally well

創建者 FRANCESCO A

Aug 08, 2020

awesome as always.

創建者 Gangone R

Jul 03, 2020

very useful course

創建者 Prajakta L

Jun 25, 2020

nice sessions

創建者 Jahirul I

Jul 10, 2020

Good Project