Course Description

This course, offered by the University of Geneva, is designed to provide students with a comprehensive understanding of portfolio and risk management. With a 4.7 star rating and over 4,000 reviews, this course has been highly praised for its in-depth coverage of key concepts and practical applications. Throughout the course, students will develop skills in correlation and dependence, finance, investment management, leadership and management, market analysis, risk management, financial analysis, financial management, probability and statistics, and statistical analysis. These skills are highly sought after in the finance industry, making this course a valuable asset for anyone looking to pursue a career in this field. The course is suitable for individuals with a mixed level of experience in finance, as it covers both basic and advanced topics. It can be completed in 1-4 weeks, making it a flexible option for busy professionals and students alike. By the end of this course, students will have a solid understanding of portfolio and risk management principles, as well as