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Prepare for CFA Level 1: Portfolio Management and Strategy

通过 Coursera Plus 提高技能,仅需 239 美元/年(原价 399 美元)。立即节省

Board Infinity

Prepare for CFA Level 1: Portfolio Management and Strategy

Board Infinity

位教师:Board Infinity

包含在 Coursera Plus

深入了解一个主题并学习基础知识。
初级 等级

推荐体验

3 周 完成
在 10 小时 一周
灵活的计划
自行安排学习进度
深入了解一个主题并学习基础知识。
初级 等级

推荐体验

3 周 完成
在 10 小时 一周
灵活的计划
自行安排学习进度

您将学到什么

  • Build diversified investment portfolios using modern theory

  • Apply CAPM, beta, and efficient frontier in analysis

  • Evaluate portfolio performance using key financial ratios

  • Develop risk management and asset allocation strategies

要了解的详细信息

可分享的证书

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最近已更新!

April 2026

作业

27 项作业

授课语言:英语(English)

了解顶级公司的员工如何掌握热门技能

Petrobras, TATA, Danone, Capgemini, P&G 和 L'Oreal 的徽标

积累特定领域的专业知识

本课程是 Prepare for CFA Level 1 Exam: Master Core Finance Concepts 专项课程 专项课程的一部分
在注册此课程时,您还会同时注册此专项课程。
  • 向行业专家学习新概念
  • 获得对主题或工具的基础理解
  • 通过实践项目培养工作相关技能
  • 获得可共享的职业证书

该课程共有6个模块

This module introduces the fundamental relationship between risk and return in investment portfolios. Learners explore historical return analysis, distribution characteristics of asset returns, and investor risk preferences. The module also examines diversification benefits, portfolio construction with multiple assets, and the development of efficient portfolios using the Markowitz framework.

涵盖的内容

21个视频7个作业

This module explores the theoretical foundations linking risk and expected return in financial markets. Learners examine the Capital Market Line, return-generating models, and the Capital Asset Pricing Model (CAPM). The module also introduces performance evaluation techniques used to measure portfolio manager effectiveness.

涵盖的内容

22个视频5个作业

This module introduces the portfolio management process and the institutional environment in which investment decisions are made. Learners examine diversification strategies, modern portfolio theory applications, and the roles of individual and institutional investors. The module also explores active versus passive management approaches and developments within the asset management industry.

涵盖的内容

12个视频4个作业

This module focuses on developing investment strategies through structured portfolio planning. Learners examine investment policy statements, investor objectives, and portfolio constraints. The module also explores capital market expectations, strategic asset allocation, and portfolio construction principles used by investment professionals.

涵盖的内容

10个视频4个作业

This module explores behavioral finance and how psychological biases influence investment decisions and market outcomes. Learners examine cognitive and emotional biases that affect investor behavior and analyze market anomalies observed in financial markets. The module also explores how behavioral patterns contribute to market trends such as momentum, bubbles, and value effects.

涵盖的内容

9个视频3个作业

This module introduces risk management principles used in portfolio management and financial institutions. Learners examine the risk management process, governance frameworks, and risk tolerance concepts. The module also explores financial and non-financial risks and strategies used to manage, transfer, or mitigate risk exposures

涵盖的内容

13个视频4个作业

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