KS
Sep 9, 2016
Great! This course will help you learn how to make a proper portfolio which optimally matched to your risk&return preference and how to manage your portfolio's risk level with financial instruments.
GG
Aug 28, 2020
This is was an incredible course. If you have a little bit of background on these topics you will be amazed by how the instructors present complex concepts in a very simple and understandable way.
By Ashutosh K M
•Apr 14, 2020
Awesome Experience ,got to learn too many things
By Weiyuan Z
•Jul 17, 2016
Great course! Useful but a little boring...
By RICARDO L R
•Aug 4, 2020
Week 4 requires more practical assignments
By Deleted A
•Jan 24, 2020
Good Course to Grow and Enrich Ourselves
By Harit J
•May 28, 2020
Good course content but low engagement
By Christian R
•Jan 6, 2019
Very clear and well structured mooc!
By Foad P
•Sep 7, 2020
everything was perfect as always.
By Niklas A
•Mar 19, 2019
Basic, but well teached course.
By Kunal P
•Oct 2, 2017
Full of learning. A must do
By Chawin P
•Oct 4, 2020
very useful course.
By EDUARDO U P
•Feb 22, 2021
excelent content
By RAJESH K G
•Jul 23, 2020
good learnings
By UDYOT G
•Aug 13, 2020
good content
By Phuoc H H
•Jul 13, 2020
good course.
By aligibbster 1
•Aug 25, 2017
very good
By Athuliya V S
•Sep 28, 2017
Great
By Vikas S K
•Sep 30, 2020
good
By Niklas H D
•Jun 9, 2018
Gut!
By Elizaveta
•Jul 21, 2020
I thought they were just my feelings about the week 4. It is not. I agree that it has much more than one can take keeping the pace that we're used to. It feels like for through studies of week 4 one should do an enormous job studying by him/herself completing the gaps that are there. The lectures particularly in week 4 seemingly imply we have suddenly become professionals in the field which we have not.
I would support one of the reviewers by saying that week 4 should be split somehow into more appropriate portions, material should be explained more coherently without implying we can read it all up on the Internet. Speaking about week 4, it feels like there are lots of gaps in the material and one has to go online much more than usually in order to really understand the material.
I would also (like one of my classmates did) ask for more optional practical tasks with real portfolios or real situations so that we could use the formulas in real life with confidence.
By Anthony T
•Feb 16, 2021
This is my third course in the investment management specialization, and I have only given this one 3 stars because the mathematical explanations for the Value-at-Risk and the Conditional Value-at-Risk formulas were explained terribly by the instructors.
They seemed to assume that all people held the same level of financial knowledge as themselves and just gave a load of symbols and equations without explaining what they were for. They did not even give an example calculation so I could learn myself. Instead, I had to use other websites to read about and study these formulas.
If this can be corrected with enhanced, improved new information for learners, then this could also be a 5 out of 5 star course.
By Snigdha
•Jul 12, 2020
Concepts of Asset Allocation and theoretical background of modern portfolio theory are dwelt upon for a large chunk of the course, however risk is barely covered and brushed over with not enough clarity and detail that was expected. Overall, a nicely packaged refresher course for the theoretical foundations of portfolio management for the initiated (but who have lost touch), but barely enough focus on the practical aspects or examples in portfolio and risk management.
By Bryan P
•Nov 28, 2020
The content is as usual great!
1A Material to learn and develop your skills in the field of finance!
HOWEVER It was not easy to follow the English with the French accent. Also the Script has not been reviewed by Coursera. They took for granted that the script only takes the spoken language and did not approach any corrections when mistakes were made. A lot of key information gets lost, when you FORGET to correct this type if information.
By Jamal F
•Apr 8, 2018
For non-finance or statistical students, it would benefit them to have more detailed explanations of the equations used in this module, as well as more example to fully grasp the concepts and become comfortable with using the equations. I would've appreciated that in my case.
By Vivek N
•Apr 28, 2020
The faculty while explaining the topics are very quick apart from 1 or 2. The course is very basic and not recommended for people with moderate level of knowledge in markets. Overall a good course
By Moreno C
•Jun 16, 2016
The course touches briefly on all the relevant concepts but it remains at a very introductory level.
I would recommend it only for student without any previous exposure to the subjects.