In this course, we will discuss fundamental principles of trading off risk and return, portfolio optimization, and security pricing. We will study and use risk-return models such as the Capital Asset Pricing Model (CAPM) and multi-factor models to evaluate the performance of various securities and portfolios. Specifically, we will learn how to interpret and estimate regressions that provide us with both a benchmark to use for a security given its risk (determined by its beta), as well as a risk-adjusted measure of the security’s performance (measured by its alpha). Building upon this framework, market efficiency and its implications for patterns in stock returns and the asset-management industry will be discussed. Finally, the course will conclude by connecting investment finance with corporate finance by examining firm valuation techniques such as the use of market multiples and discounted cash flow analysis. The course emphasizes real-world examples and applications in Excel throughout. This course is the first of two on Investments that I am offering online (“Investments II: Lessons and Applications for Investors” is the second course).
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- 5 stars83.54%
- 4 stars10.61%
- 3 stars2.80%
- 2 stars1.51%
- 1 star1.51%
INVESTMENTS I: FUNDAMENTALS OF PERFORMANCE EVALUATION의 최상위 리뷰
This course is very resourceful and full of useful information that can help me understand accounting and finance information a lot better!
An excellent course! loved the material, great assignments, built my fundamentals in investments in a great way. Professor Scott is great man.
Normal course work was very good. The Honors content was a bit disappointing in that I finished it before the weeks deadline but never received a grade.
This was a fantastic course, with a realistically attainable amount of material, and a humble, knowledgable professor whose teaching style makes a normally difficult topic very easy to understand.
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