In this course, you will gain an understanding of the theory underlying optimal portfolio construction, the different ways portfolios are actually built in practice and how to measure and manage the risk of such portfolios.
This course is part of the Investment Management Specialization
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About this Course
Could your company benefit from training employees on in-demand skills?
Try Coursera for BusinessSkills you will gain
- Portfolio Theories
- Risk Management
- Value At Risk (VAR)
- Portfolio Optimization
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Syllabus - What you will learn from this course
General Introduction and Key Concepts
Modern Portfolio Theory and Beyond
Asset Allocation
Risk Management
Reviews
- 5 stars75.35%
- 4 stars20.09%
- 3 stars3.72%
- 2 stars0.70%
- 1 star0.13%
TOP REVIEWS FROM PORTFOLIO AND RISK MANAGEMENT
This course has increased my knowledge and understanding of portfolio and risk management. Many important topics have been covered by the instructors which are useful for the learners of finance.
Great learning in this course, however the currency risk portion could have been explained in more detail and with more patience. It was a hard topic to grasp. But, overall a very good course.
Definitely not for people without economical and some math knowledge, but Great content, and fully recommend for anybody looking to improve their knowledge to better take care of your portfolio!
The great Modern Portfolio Theory! If you are into portfolio investment, this course is a must for you. You can learn how to get a lunch almost free...
About the Investment Management Specialization

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