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Coursera

Compare Stock Returns with Google Sheets

In this 1-hour long project-based course, you will learn how to compare the performance of different securities using financial statistics (normal distributions) and the Google Sheets toolkit to decide which one performed the best in terms of risk-to-return (risk-to-reward) metrics. This will teach you how basic risk management using quantitative analysis is done and is applied in calculating mean returns of the stock, variance, standard deviation, the Sharpe ratio, and Sortino Ratio. 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.

状态:Statistical Analysis
状态:Statistics
初级指导项目小时

精选评论

DC

5.0评论日期:Oct 13, 2020

Very interesting course for beginners who wants the carreer in finance and investment field

PM

5.0评论日期:Jan 6, 2023

Use of google sheets is well explained and the instructor gives clear concise details on how to perform calculations.

PN

4.0评论日期:Sep 24, 2020

good for beginners, need more guidance on such analysis techniques.

VV

5.0评论日期:May 26, 2020

Very good course with opportunity to learn the stock analysis basics

SD

4.0评论日期:Sep 23, 2020

Could've explained more about implication of the ratios in stock performance, was expecting a more in-depth learning experience. But anyway good content.

EH

4.0评论日期:Apr 29, 2020

This is great and thank you very much. I am so eager to learn more about comparing stock and returns, and portfolio & risk management.

NN

4.0评论日期:Aug 27, 2020

Very useful and informative tools and can be used in our daily work to analyse stocks

SK

5.0评论日期:Jul 30, 2020

This Course is good for Beginners and it really helps in kick starting your interest in Finance and Quantitative Analysis .

JH

5.0评论日期:Apr 5, 2025

Great way to start a finance project of your own using different tools that was taught.

AB

5.0评论日期:Aug 14, 2020

Basic concepts explained very simply with the help of Excel. Would recommend for anyone interested in finance!

MB

5.0评论日期:Oct 1, 2024

Wonderful course, practical for real life examples, and overall very useful!

NS

5.0评论日期:May 9, 2020

Foundation project for Risk and Portfolio Management, also try Markowitz project on Coursera if you want to grow.

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