- Variance Analysis
- Risk Management
- Financial Market
- Portfolio Management
- Derivatives
- Correlation Analysis
- Equities
- Asset Management
- Investments
- Probability Distribution
- Risk Analysis
- Wealth Management
Portfolio and Risk Management
Completed by Pierre Davadan
August 19, 2021
7 hours (approximately)
Pierre Davadan's account is verified. Coursera certifies their successful completion of Portfolio and Risk Management
