Introduction to Mean Variance in Excel

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Habilidades que você aprenderá

Real Options Valuation, Derivative (Finance), Risk Management, Real Options

Avaliações

4.7 (477 classificações)
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    386 ratings
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    70 ratings
  • 3 stars
    14 ratings
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    1 ratings
  • 1 star
    6 ratings
QL

Mar 22, 2017

Very great introduction to the financial engineering topics. It mainly covers the basics of portfolio management and structured products. Really insightful!

RK

Dec 16, 2016

Very insightful course, working in the financial industry can often imagine the material learn't being applied in work environment which is rewarding.

Na lição
Mean-Variance Analysis and CAPM
Problem formulation and solution; the efficient frontier; including the risk-free asset; the Capital Asset Pricing Model (CAPM);implications of CAPM: α, β, security and capital market lines

Ministrado por

  • Martin Haugh

    Martin Haugh

    Co-Director, Center for Financial Engineering
  • Garud Iyengar

    Garud Iyengar

    Professor

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