投资风险管理
This project teaches quantifying risk-to-reward with the Treynor Ratio and calculating portfolio Value at Risk. Basic financial risk management knowledge (from "Compare Stock Returns with Google Sheets") is required. Note: Best for North America learners; not investment advice.
3
总模块数
2
招收学生
2026/02/04
最后更新
3小时
期间
概述
在项目结束时,您将学习如何使用特雷诺比率量化风险回报,并计算投资组合的风险价值。 注意:要学习本课程,您需要熟悉基本的金融风险管理概念。您可以通过参加指导项目“比较股票收益与 Google 表格”来获得它们。 注意:本课程最适合北美地区的学习者。我们目前正在努力在其他地区提供相同的体验。 本课程的内容无意作为投资建议,也不构成在受监管或不受监管的金融市场中进行任何操作的要约
课程
第一章
投资风险管理
1 hr
1 hr
投资风险的类型
1 hr
1 hr
测验
1 hr
1 hr
讲师
Grace L Cooper
电子邮件: gracecooper@example.com审查
公告
Expert Insights Added: Featuring a New Module on Market Volatility!
Mitchell Admin
Gain deeper insights into navigating market uncertainties! Our "Investment Risk Management" course now includes a new module led by a seasoned financial analyst, focusing on understanding and managing market volatility. Enhance your investment strategies. Discover the new content now!