投资组合 通关学习包 扫二维码继续学习

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  • 投资组合 单科提分课
  • Reading 48 Portfolio Management: An Overview
  • 免费 课时1:Portfolio Perspective 31:31
  • 课时2:Portfolio Management:Three Steps 16:54
  • 课时3:Investment Clients 25:09
  • 课时4:Pooled Investment 33:38
  • 课时5:The asset management industry 19:40
  • Reading 49 Portfolio Risk and Return: Part 1
  • 课时6:Investment Characteristics of Assets-Return 73:23
  • 课时7:Investment Characteristics of Assets-Risk 16:43
  • 课时8:Portfolio Risk-for two assets 20:45
  • 课时9:Portfolio Risk-for many risky assets 26:38
  • 课时10:Efficient frontier 22:04
  • 课时11:The concept of risk aversion 14:04
  • 课时12:Utility theory and indifference curves 49:25
  • 课时13:Application of utility theory to portfolio selection 23:43
  • 课时14:Application of utility theory to portfolio selection(2) 28:08
  • 课时15:Two-Fund Separation Theorem 14:19
  • 课时16:Summary 15:38
  • Reading 50 Portfolio Risk and Return: Part 2
  • 课时17:CAL 16:12
  • 课时18:Capital Market Theory 47:30
  • 课时19:Systematic Risk and Nonsystematic Risk 14:26
  • 课时20:Return-Generating Models 21:09
  • 课时21:Capital asset pricing model 61:21
  • 课时22:SML VS. CML 15:26
  • 课时23:Limitations of the CAPM 10:14
  • 课时24:Portfolio Performance Evaluation 32:01
  • 课时25:Summary 15:33
  • Reading 51 Basic of Portfolio Planning and Construction
  • 课时26:Portfolio Planning 36:20
  • 课时27:Portfolio Construction 20:04
  • Reading 52 The Behavioral Biases of Individuals
  • 课时28:Introduction 19:53
  • 课时29:Belief perseverance biases 52:36
  • 课时30:Processing errors 46:54
  • 课时32:Emotional biases 49:37
  • 课时33:How behavioral finance influences market behavior 30:15
  • Reading 53 Risk Management: An Introduction + Reading 54 Technical Analysis
  • 课时34:The Risk Management Process 11:40
  • 课时35:Risk management framework 17:21
  • 课时36:Identification of Risks 11:18
  • 课时37:Measuring and Modifying Risks 18:45
  • 课时38:Measuring and Modifying Risks(2) 04:09
  • Reading 54 Technical Analysis
  • 课时39:Technical analysis introduction 13:45
  • 课时40:Technical analysis 44:21
  • Reading 55 Fintech in Investment Management
  • 课时41:Big data 19:24
  • 课时42:Advanced Analytical Tools:Artificial Intelligence and Machine Learning 10:23
  • 课时43:Data Science:Extracting Information from Big Data 09:18
  • 课时44:Selected Applications of Fintech to Investment Management 23:03
  • 课时45:Distributed Ledger Technology 22:27
  • 投资组合 重难点讲解
  • 课时46:投资组合管理—资本配置线和资本市场线 90:16
  • 课时47:投资组合管理—证券市场线和资本资产定价模型 89:55