Financial Engineering & Portfolio Theory -CM2 Actuarial Exam



Financial Engineering & Portfolio Theory -CM2 Actuarial Exam

Rating 4.6 out of 5 (85 ratings in Udemy)


What you'll learn
  • Theory behind Financial Markets and Investment Strategies
  • Introduction to Financial Markets
  • Efficient Market Hypothesis
  • Active vs Passive Investment Strategies
  • The Great Recession
  • Utility Theory
  • Stochastic Dominance
  • Behavioural Economics
  • Risk Measures
  • Mean Variance Portfolio Theory

Description

Section 1 - Introduction

  1. Financial Markets

    1. We look at various markets such as the Stock Market, the Bond Market, the Derivative …

Duration 4 Hours 58 Minutes
Paid

Self paced

All Levels

English (US)

1330

Rating 4.6 out of 5 (85 ratings in Udemy)

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