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Learner Reviews & Feedback for Portfolio Selection and Risk Management by Rice University

4.6
stars
596 ratings

About the Course

When an investor is faced with a portfolio choice problem, the number of possible assets and the various combinations and proportions in which each can be held can seem overwhelming. In this course, you’ll learn the basic principles underlying optimal portfolio construction, diversification, and risk management. You’ll start by acquiring the tools to characterize an investor’s risk and return trade-off. You will next analyze how a portfolio choice problem can be structured and learn how to solve for and implement the optimal portfolio solution. Finally, you will learn about the main pricing models for equilibrium asset prices. Learners will: • Develop risk and return measures for portfolio of assets • Understand the main insights from modern portfolio theory based on diversification • Describe and identify efficient portfolios that manage risk effectively • Solve for portfolio with the best risk-return trade-offs • Understand how risk preference drive optimal asset allocation decisions • Describe and use equilibrium asset pricing models....

Top reviews

MK

Feb 1, 2021

The course was very comprehensive and easy to understand. The instructors made sure that they are giving the information in a way that won't make me confused. Thank you so much for this great course!

JC

Mar 2, 2020

I love how Dr O teach by telling a story. Her Teaching technique is different from the college boring classes that I have been.

I wish she offer more courses.

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76 - 100 of 109 Reviews for Portfolio Selection and Risk Management

By Arvin D L

Feb 27, 2017

GREAT!

By Париков И

May 2, 2019

Cool!

By Aditya G

Aug 13, 2024

Good

By Axel B J

Apr 17, 2020

nice

By Edgar C

Feb 23, 2019

Good

By Ronald G

Feb 7, 2023

The course material is fabulous. However I think that the depth of the presentation material doesn't match the complexity of the topics. I had to do considerable work outside of most of the videos in order to pass the quizzes and peer review assignments.

References to a specific book this subject is being taught from would be very helpful, along with more practice exercises.

By Andrew L

Oct 28, 2022

The contents are very good, but some of the assignments do not clearly associate with the taught contents (it's not obvious how to use some of the notes given as part of the teaching materials to tackle the assignments) and I ended up doing a lot of unnecessary research which was very time consuming. I wish the assignments can be improved on based on the comments above.

By Adrian N U

May 11, 2018

The course is very insightful. However, some parts of the peer review assignments need to be made clearer (i.e. the difference between sample variance and population variance, although one can look at the forum for the answer). Some of the in-class quizzes are also pretty annoying. The course can improve by revamping the material and correcting for some bugs.

By Matteo E

Dec 27, 2017

Very nice and rather deep presentation of the modern portfolio theory, CAPM and fama-french 3-factor model, but lacking in width in terms of presentation of other pricing models, or risk management strategies (i.e. 5-factor model, hedging, etc...).

Overall a challenging and enjoyable course if you have little financial background.

By Oleksandr A

Mar 4, 2018

A wonderful course! You will find here all necessary insights and concepts of portfolio selection and risk management. The main problem is there is a little lack of explanations of some complex Excel spreadsheets. Hence, you will need to check Forums to complete the puzzle.

By Melissa T T T

Aug 23, 2020

It is a very good course. The only weakness is the assignments are not taught anywhere in the course. I cannot get the last assignment right and I am eager to learn yet there is no way to learn the correct method even though I passed the course.

By Gautam B

Apr 27, 2020

This course is one of the finest course from Rice University and the way Dr. O teaches, it really is astounding. This course has helped me, by clearing my basic understanding of the Portfolio Selection in the world of Investments.

By Tommaso M

Apr 23, 2020

The course is very interesting. The topics are treated with obvious superficiality but it is useful to start acquiring some practice in the subject. The only flaw is the peer-graded homeworks, which often take days to correct.

By Lebogang M

Aug 15, 2020

The lecture is very good, I like her style of teaching; however, since its a beginner module, it would be nice if the lecturer actually taught us how to compute with excel so that we don't struggle with the assignments.

By Luis F T J

May 24, 2021

The excel practices are confusing and hard to make with almos all the spreed sheet blocked, they should make some videos using excel to learn to good way to use it and not only try to make their practices without help

By Lisa C

Dec 17, 2016

This was a tough course and I actually moved to another schedule. I think a sixth week on using excel to solve problems would have been worthwhile.

By Abdallah M

Aug 19, 2023

thanks a lot doctor o and Coursera for this opportunity and great course but I hope you pay more attention to excel applaction ❤

By Himanshu K

Jun 19, 2020

I think Excel should be used to teach so that more clarification should be there with tools

By Rajat R

Jun 24, 2020

Great learning experience!!! A perfect course for the beginners...

By 杜睿

Oct 28, 2018

I have learned a lot, but I want to learn more

By Abhishek N

Jul 4, 2020

well planned course,nice assignment an quiz

By Jeffrey C

Jul 30, 2020

Good class

By Thomas M S

Mar 25, 2017

Decent course to get an introduction to portfolio theory. Some work needs to be done to update the pdf slides with what the professor adds in handwriting during the course.

By Agustin B

Aug 17, 2020

Demasiado teórico. Para undergraduates, y poco practico para los que tenemos muchos años

By Dada G O

Aug 14, 2020

The course was really tasking