Financial Analysis - Portfolios, Risks, Strategic Decisions
This course covers financial strategies, portfolio design, and risk management, essential for informed investment decisions. It helps navigate markets effectively and build resilient portfolios aligned with long-term goals and risk tolerance.
Overview
This course includes:
- 60 minutes of on-demand video
- Certificate of completion
- Direct access/chat with the instructor
- 100% self-paced online
Skills You Will Gain
Learning Outcomes (At The End Of This Program, You Will Be Able To...)
- Gain fundamental knowledge of financial strategies, portfolio design, and risk management.
- Learn to construct portfolios tailored to specific investment goals, incorporating real-world examples to understand practical applications.
- Master advanced risk management principles and regulatory knowledge to protect investments and optimize financial planning.
Prerequisites
- Basic understanding of financial terminology
- Introductory knowledge of financial markets
- Familiarity with investment concepts
- Interest in portfolio analysis and management
- Basic proficiency in financial mathematics and statistics
Who Should Attend
Finance Professionals, Investment Bankers, Risk Managers, Investment Advisors, Portfolio Analysts, Portfolio Managers, Finance Students