Learners will analyze hedge fund strategies, evaluate leverage practices, apply accounting techniques, and assess risk management tools through real-world case studies. This course equips participants with the ability to interpret fund structures, calculate NAV, measure exposures using Value at Risk (VaR), and evaluate failures like LTCM and Amaranth to strengthen modern investment practices.
通过 Coursera Plus 提高技能,仅需 239 美元/年(原价 399 美元)。立即节省

您将学到什么
Analyze hedge fund strategies, leverage, and accounting methods.
Calculate NAV, apply VaR, and assess stress-testing outcomes.
Evaluate case studies like LTCM and Amaranth for risk insights.
您将获得的技能
要了解的详细信息

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October 2025
16 项作业
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状态:免费试用
状态:免费试用
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学生评论
- 5 stars
92.85%
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0%
- 3 stars
7.14%
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显示 3/14 个
已于 Feb 24, 2026审阅
The explanation of Value at Risk (VaR) and exposure measurement was practical and well structured. Complex risk concepts were simplified without losing depth.
已于 Feb 21, 2026审阅
The sections on NAV calculation and fund structures were extremely insightful. I now feel much more confident interpreting hedge fund financial statements.
已于 Feb 18, 2026审阅
The breakdown of hedge fund strategies was detailed and easy to follow. It gave me a solid foundation for evaluating different investment approaches.






