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Coursera - Portfolio Selection and Risk Management

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1.57 GB | 11min 12s | mp4 | 1280X720 | 16:9
Genre:eLearning |Language:English

Files Included :
FileName :01 introduction-welcome-to-class.mp4 | Size: (38.5 MB)
FileName :01 overview-no-free-lunches-risk-and-return-trade-off.mp4 | Size: (36.54 MB)
FileName :02 measuring-returns-geometric-average-returns.mp4 | Size: (28.4 MB)
FileName :03 measuring-returns-arithmetic-average-returns.mp4 | Size: (19.53 MB)
FileName :01 measuring-risk-volatility-of-returns.mp4 | Size: (35.88 MB)
FileName :02 alternative-measures-of-risk.mp4 | Size: (19.09 MB)
FileName :03 more-on-measuring-risk-and-risk-measures.mp4 | Size: (18.65 MB)
FileName :01 measuring-risk-and-return-illustration-with-four-stocks.mp4 | Size: (34.74 MB)
FileName :02 historical-record-on-risk-return-patterns.mp4 | Size: (57.62 MB)
FileName :01 summary.mp4 | Size: (8.94 MB)
FileName :01 introduction-measuring-portfolio-risk-and-return.mp4 | Size: (14.07 MB)
FileName :01 measuring-the-expected-return-of-a-portfolio.mp4 | Size: (35.86 MB)
FileName :01 lets-review-how-we-measure-risk-for-a-single-asset.mp4 | Size: (18.6 MB)
FileName :02 finding-the-volatility-of-a-portfolio-return.mp4 | Size: (15 MB)
FileName :03 portfolio-volatility-another-example.mp4 | Size: (10.36 MB)
FileName :04 measuring-the-co-movement-between-securities.mp4 | Size: (42.1 MB)
FileName :05 putting-it-all-together-portfolio-risk-and-diversification.mp4 | Size: (34.34 MB)
FileName :01 diversification-and-portfolio-risk.mp4 | Size: (24.57 MB)
FileName :02 diversification-a-graphical-illustration-with-two-assets.mp4 | Size: (29.65 MB)
FileName :03 diversification-a-graphical-illustration-with-three-assets.mp4 | Size: (19.84 MB)
FileName :04 diversification-systematic-risk-and-idiosyncratic-risk.mp4 | Size: (55.45 MB)
FileName :05 diversification-an-illustration-from-international-equity-markets-us-and-japan.mp4 | Size: (76.3 MB)
FileName :08 mean-variance-frontier-and-efficient-portfolios-international-equity-investment.mp4 | Size: (38.03 MB)
FileName :01 are-you-diversified-adequately.mp4 | Size: (37.28 MB)
FileName :02 mean-variance-portfolio-analysis.mp4 | Size: (42.5 MB)
FileName :03 summary.mp4 | Size: (8.83 MB)
FileName :01 introduction.mp4 | Size: (19.19 MB)
FileName :02 preferences-utility-functions.mp4 | Size: (50.16 MB)
FileName :03 risk-aversion.mp4 | Size: (50.91 MB)
FileName :01 expected-utility.mp4 | Size: (39.78 MB)
FileName :02 mean-variance-preferences.mp4 | Size: (47.99 MB)
FileName :03 portfolio-choice-problem-with-mean-variance-preferences-a-graphical-illustration.mp4 | Size: (58.86 MB)
FileName :01 summary.mp4 | Size: (6.38 MB)
FileName :01 introduction.mp4 | Size: (17.99 MB)
FileName :02 capital-allocation-line.mp4 | Size: (56.81 MB)
FileName :03 solving-for-the-optimal-capital-allocation.mp4 | Size: (39.54 MB)
FileName :04 optimal-capital-allocation-example-u-s-equities-and-treasuries.mp4 | Size: (52.26 MB)
FileName :01 investment-decision-process.mp4 | Size: (41.29 MB)
FileName :02 whats-wrong-with-mean-variance-portfolio-analysis.mp4 | Size: (40.47 MB)
FileName :03 summary.mp4 | Size: (13.09 MB)
FileName :01 introduction.mp4 | Size: (25.44 MB)
FileName :02 from-optimal-portfolio-choice-to-asset-pricing-models.mp4 | Size: (53.82 MB)
FileName :05 beta-and-systematic-risk.mp4 | Size: (39.53 MB)
FileName :06 capital-asset-pricing-model-expected-return-beta-relationship.mp4 | Size: (40.86 MB)
FileName :01 multi-factor-models.mp4 | Size: (52.7 MB)
FileName :02 fama-french-three-factor-model.mp4 | Size: (39.33 MB)
FileName :01 summary.mp4 | Size: (12.23 MB)]
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