- Probability Distribution
- Statistical Methods
- Variance Analysis
- Correlation Analysis
- Investment Management
- Risk Management
- Risk Analysis
- Finance
- Portfolio Management
- Decision Making
- Equities
- Financial Market
Portfolio Selection and Risk Management
Completed by OMAR MAMMADOV
November 8, 2020
23 hours (approximately)
OMAR MAMMADOV's account is verified. Coursera certifies their successful completion of Portfolio Selection and Risk Management
Skills you will gain

