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Portfolio Management & Investment Analysis Mastery · LearnSpace
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Portfolio Management & Investment Analysis Mastery

Курс от EDUCBA
Уровень не указан≈ 21.7 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Master advanced financial strategies, portfolio management, and investment analysis to make smarter investment decisions. Learn how to evaluate equities, bonds, and market behavior with confidence. This course provides a comprehensive approach to financial analysis by integrating corporate governance, portfolio theory, and valuation techniques. You will explore risk-return optimization, asset allocation strategies, and the principles of capital market theory to design efficient portfolios. Through practical modules, you will learn to evaluate equity securities using dividend-based and alternative valuation models, analyze fixed income instruments, and interpret yield measures. The course also covers market efficiency, behavioral finance, and trading mechanisms to help you understand how real-world markets operate. By the end of the course, you will be able to construct and manage investment portfolios, assess financial instruments, and apply data-driven strategies to maximize returns while managing risk. Ideal for finance professionals and aspiring analysts, this course builds strong analytical and decision-making skills essential for careers in investment management and financial analysis.

Навыки, которые вы освоите

Portfolio ManagementInvestment ManagementEquitiesSecurities TradingPortfolio RiskCompetitive AnalysisBusiness ValuationFinancial AnalysisBusiness EthicsFinancial SystemsFinancial TradingGovernanceInvestmentsFinanceFinancial DataAsset ManagementMarket AnalysisCapital MarketsFinancial MarketSecurities (Finance)

Программа курса

8 модулей · 123 учебных материалов

01Foundations of Governance & Portfolio Basics17 материалов

Corporate Governance & Ethical Frameworks

What is Corporate GovernanceВидеоCode of EthicsВидеоPortfolio Basis for EndowmentsВидеоCorporate Governance & Ethical FrameworksЗадание

Institutional Portfolio Perspectives

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EDUCBA

Преподаватель курса

Portfolio Management & Investment Analysis Mastery
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Обучение на Coursera

≈ 21.7 ч

8 модулей

Язык: Английский

Часть программы вашего университета
Portfolio Basis of BanksВидео
Portfolio Management ProcessВидео
Institutional Portfolio PerspectivesЗадание

Investment Vehicles & Market Instruments

Pooled InvestmentВидеоExchange Traded FundВидеоRisk AversionВидеоInvestment Vehicles & Market InstrumentsЗадание

Risk & Return Fundamentals

Correlation and Risk ReturnВидеоReturn MeasuresВидеоRisk & Return FundamentalsЗаданиеDesigning an Ethical and Risk-Aligned Investment PortfolioDIALOGUEGraded - Foundations of Governance & Portfolio BasicsЗаданиеApplying Governance and Risk-Return Principles in Portfolio DecisionsDIALOGUE
02Portfolio Theory & Optimization15 материалов

Measuring Portfolio Returns

Money Weighted Return - ProblemВидеоMinimum Variance Frontier and Efficient FrontierВидеоIndifference CurvesВидеоMeasuring Portfolio ReturnsЗадание

Statistical Foundations of Portfolio Theory

DestinationsВидеоMean, Variance and CovarianceВидеоStatistical Foundations of Portfolio TheoryЗадание

Return Models & Asset Allocation Concepts

Return Generating ModelsВидеоCombining Risky and Risk Free AssetВидеоCAL, CML, Systematic and Unsystematic RiskВидеоReturn Models & Asset Allocation ConceptsЗадание

Capital Market Theory Essentials

Assumptions of Capital Market TheoryВидеоOther RatiosВидеоCapital Market Theory EssentialsЗаданиеGraded - Portfolio Theory & OptimizationЗадание
03Portfolio Planning & Financial Systems15 материалов

Strategic Portfolio Construction

Strategic Asset AllocationВидеоBasic of Portfolio Planing and ConstructionВидеоMajor Components of an IPSВидеоStrategic Portfolio ConstructionЗадание

Market Structure Fundamentals

Market Organization and StructureВидеоFinancial System FunctionsВидеоMarket Structure FundamentalsЗадание

Market Classification & Intermediaries

Classification of MarketsВидеоFinancial Intermediary RolesВидеоInsurance ComapaniesВидеоMarket Classification & IntermediariesЗадание

Trading Mechanisms & Strategies

Selling ShortВидеоBuying Stock on MarginВидеоTrading Mechanisms & StrategiesЗаданиеGraded - Portfolio Planning & Financial SystemsЗадание
04Trading, Markets & Index Construction15 материалов

Trading Operations & Instructions

Margin CallВидеоTrading InstructionВидеоPrimary MarketsВидеоTrading Operations & InstructionsЗадание

Market Benchmarks & Indices

Security Market IndicesВидеоPrice Weighted IndexВидеоMarket Benchmarks & IndicesЗадание

Index Construction & Variations

Fundamental Index WeightedВидеоCalculation of Price Weighted IndexВидеоTypes of Equity IndexesВидеоIndex Construction & VariationsЗадание

Market Efficiency Concepts

What are Efficient Capital Market?ВидеоFactor Affecting Market EfficiencyВидеоMarket Efficiency ConceptsЗаданиеGraded - Trading, Markets & Index ConstructionЗадание
05Market Efficiency & Behavioral Insights15 материалов

Role of Efficiency in Portfolio Management

Role of Portfolio Manager in Efficient Markets ВидеоOther AnomaliesВидеоMarket Effeciency - Behavioural FinanceВидеоRole of Efficiency in Portfolio ManagementЗадание

Equity Securities Overview

Overview of Equity SecuritiesВидеоPreferred Stock ВидеоEquity Securities OverviewЗадание

Advanced Equity Instruments

Private EquityВидеоDepository ReceiptsВидеоReturn Characteristics of EquityВидеоAdvanced Equity InstrumentsЗадание

Equity Issuance & Market Entry

Equity IssuanceВидеоIntroduction to Industry and Company AnalysisВидеоEquity Issuance & Market EntryЗаданиеMarket Efficiency & Behavioral InsightsЗадание
06Industry & Company Analysis15 материалов

Industry Analysis Frameworks

Approach Industry GroupingsВидеоBusiness Cycle SensitivityВидеоPorter's Five ForcesВидеоIndustry Analysis FrameworksЗадание

Competitive Dynamics

Market Share StabilityВидеоLimitations of Life Cycle AnalysisВидеоCompetitive DynamicsЗадание

Equity Valuation Foundations

EQ. V - Concepts and Basic ToolsВидеоValuing Common Stock ВидеоEQ.V - Divident Discount Model ВидеоEquity Valuation FoundationsЗадание

Dividend Models in Practice

Gordon Growth Model ExampleВидеоUsage of Divident Discount ModelВидеоDividend Models in PracticeЗаданиеGraded - Industry & Company AnalysisЗадание
07Equity Valuation Models15 материалов

Alternative Valuation Approaches

Asset Based Models ВидеоMultiplier ModelsВидеоFixed Income Defining Elements - Basic FeaturesВидеоAlternative Valuation ApproachesЗадание

Fixed Income Fundamentals

Fixed Income Defining Elements ContinuationВидеоDefining Elements - Bond IndentureВидеоFixed Income FundamentalsЗадание

Bond Structures & Enhancements

Defining Elements - Bond Indenture ContinuationВидеоDefining Elements - Credit EnhancementsВидеоContinuation with Tax ConsiderationВидеоBond Structures & EnhancementsЗадание

Bond Cash Flows & Markets

Fixed Income Cash FlowsВидеоPrimary Market For BondsВидеоBond Cash Flows & MarketsЗаданиеGraded - Equity Valuation ModelsЗадание
08Fixed Income Valuation & Yield Analysis16 материалов

Bond Market Structure

Secondary Market For BondsВидеоFixed Inocme ClassificationsВидеоCorporate DebtВидеоBond Market StructureЗадание

Government & Agency Debt

Agency DebtВидеоMore Details on Agency DebtВидеоGovernment & Agency DebtЗадание

Bond Pricing & Yield Mechanics

Calculating Bond PriceВидеоCalculating Market Discount RateВидеоConstant Yield Price TrajectoryВидеоBond Pricing & Yield MechanicsЗадание

Advanced Yield Concepts

Bond Valuation with Spot RatesВидеоForward RatesВидеоAdvanced Yield ConceptsЗаданиеGraded - Fixed Income Valuation & Yield AnalysisЗаданиеDesigning a Strategic Investment Portfolio Under Market ConstraintsDIALOGUE