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Innovation Fundamentals
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Related lectures (32)
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Financial Risk Management: Concepts and Applications
Covers the fundamentals of financial risk management, including types of risk, historical developments, regulatory events, and the challenges in quantitative risk management.
Principles of Finance: Risk and Return
Explores risk and return in finance, covering securities' performance, rates of return, variance, volatility, and portfolio diversification.
Social Innovation Strategies
Explores social innovation strategies to address severe market failures and create social value through examples and evaluation.
Quantitative Risk Management: Risk Measures
Covers risk measures used in determining risk capital and insurance premiums.
Introduction to Finance: Risk and Return
Delves into finance, emphasizing risk and return in investments, covering free cash flow, dividends, NPV, EBIT, and portfolio analysis.
Risk Analysis in Project Management
Explores risk analysis in project management, covering identification, prevention, quantification, and lean management.
Risk Analysis Methods: Failure Mode Analysis
Explores the Failure Mode Analysis method, emphasizing the importance of identifying potential failures and its widespread use in various industries.
Quantitative Risk Management: Basics and Applications
Covers the basics of quantitative risk management, financial risk, loss distributions, and risk factor changes.
Principles of Finance: CAPM and Portfolio Management
Explores the CAPM, risk premiums, efficient portfolios, and market efficiency.
Decisions under Risk and Uncertainty: Behavioral Economics Insights
Delves into decision-making under risk, bounded rationality, prospect theory, and framing, with insights from behavioral economics.