Certificate in Financial Derivatives: Portfolio Optimization
-- ViewingNowThe Certificate in Financial Derivatives: Portfolio Optimization is a comprehensive course that equips learners with critical skills in financial derivatives and portfolio optimization. This program is crucial in today's financial industry, where managing risk and optimizing portfolios are paramount.
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⢠Financial Derivatives and Instruments
⢠Understanding Portfolio Theory and Diversification
⢠Modern Portfolio Theory (MPT) and Risk-Return Tradeoff
⢠Portfolio Optimization Techniques: Mean-Variance Analysis
⢠Capital Asset Pricing Model (CAPM) and Beta Estimation
⢠Portfolio Performance Measurement and Evaluation
⢠Risk Management Techniques for Portfolio Optimization
⢠Advanced Portfolio Optimization Topics: Black-Litterman Model, Robust Portfolio Theory, etc.
⢠Applications of Portfolio Optimization in Real-World Scenarios
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