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Lecture
Introduction to Finance: Risk and Return
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Principles of Finance: Risk and Return
Explores the principles of finance regarding risk and return in investment decisions.
Principles of Finance: Stock Valuation and Investment Strategies
Explores stock valuation, risk-return relationship, and portfolio returns based on weights.
Principles of Finance: Risk and Return
Explores risk and return in finance, covering securities' performance, rates of return, variance, volatility, and portfolio diversification.
Investment Valuation: Present and Future Value Concepts
Explains present and future value concepts in investment valuation, emphasizing their calculation and significance in financial decision-making.
Principles of Finance: Portfolio Optimization and CAPM
Explores portfolio optimization, efficient frontier, CAPM, and risk management in finance.
Portfolio Optimization: Risk and Return
Explores the tradeoff between risk and return in portfolios, the benefits of diversification, and the impact of correlation on portfolio risk.
Introduction to Finance: Risk and Return in Portfolios
Covers risk and return tradeoffs in portfolios, diversification benefits, and the efficient frontier with multiple assets.
Green Bonds: Sustainable Investments & Market Growth
Explores green bonds as sustainable investments, covering market growth, key transactions, certification process, and ESG criteria.
Valuation under Uncertainty
Covers risk in investment decisions, valuation of uncertain cash flows, rate of return, portfolio returns, and mean-variance utility.
Principles of Finance: CAPM and Portfolio Management
Explores the CAPM, risk premiums, efficient portfolios, and market efficiency.