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Investment Analysis & Portfolio Management – Core Finance

Financial Analysis Done Right - Rigorously Analyse Investments & Manage Portfolios using Excel® & Google Sheets
4.5
4.5/5
(2,615 reviews)
14,626 students
Created by

9.8

Classbaze Grade®

10.0

Freshness

9.1

Popularity

9.6

Material

Financial Analysis Done Right - Rigorously Analyse Investments & Manage Portfolios using Excel® & Google Sheets
Platform: Udemy
Video: 7h 57m
Language: English
Next start: On Demand

Best Financial Analysis classes:

Classbaze Rating

Classbaze Grade®

9.8 / 10

CourseMarks Score® helps students to find the best classes. We aggregate 18 factors, including freshness, student feedback and content diversity.

Freshness

10.0 / 10
This course was last updated on 5/2022.

Course content can become outdated quite quickly. After analysing 71,530 courses, we found that the highest rated courses are updated every year. If a course has not been updated for more than 2 years, you should carefully evaluate the course before enrolling.

Popularity

9.1 / 10
We analyzed factors such as the rating (4.5/5) and the ratio between the number of reviews and the number of students, which is a great signal of student commitment.

New courses are hard to evaluate because there are no or just a few student ratings, but Student Feedback Score helps you find great courses even with fewer reviews.

Material

9.6 / 10
Video Score: 8.8 / 10
The course includes 7h 57m video content. Courses with more videos usually have a higher average rating. We have found that the sweet spot is 16 hours of video, which is long enough to teach a topic comprehensively, but not overwhelming. Courses over 16 hours of video gets the maximum score.
The average video length is 4 hours 25 minutes of 111 Financial Analysis courses on Udemy.
Detail Score: 10.0 / 10

The top online course contains a detailed description of the course, what you will learn and also a detailed description about the instructor.

Extra Content Score: 10.0 / 10

Tests, exercises, articles and other resources help students to better understand and deepen their understanding of the topic.

This course contains:

13 articles.
90 resources.
0 exercise.
1 tests or quizzes.

In this page

About the course

Say hello to Financial Analysis done right. You’ll master sophisticated investment analysis and portfolio management techniques that are rigorously grounded in academic and practitioner literature.
Explore and master powerful relationships between stock prices, returns, and risk. Quantify and measure your investment risk, from scratch.
Discover what your financial advisor should be doing to manage your portfolio – to manage your investments.
Do all of this, and a whole lot more… manually, as well as on Excel® and Google Sheets, working with real world data.
There’s no prior knowledge required. We’ll start you from the very basics, and build you to a financial analysis PRO thanks to:
6 SECTIONS TO MASTERY (plus, all future updates included).
Introduction: Understanding Investment Security Relationships & Estimating Returns
•Understanding powerful relationships between risk, return, and price.
•Intuitively explore the baseline fundamental law of Financial Analysis – The Law of One Price.
•Calculating stock returns for dividend and non-dividend paying stocks, manually.
•Downloading and working with real world data, and estimating stock returns on Excel® / Google Sheets.
Estimating Expected Returns
•Estimating expected returns using the average (mean) method.
•Estimating expected returns using ‘state contingent weighted probabilities’.
•Estimating expected returns using Asset Pricing Models including the Capital Asset Pricing Model (CAPM).
•You’ll learn each approach theoretically AND practically, ensuring you fully understand why the formulas work the way they do, and that you’re able to download relevant data and conduct the initial financial analysis by computing expected returns for any stock you want.
Understanding and Measuring Risk and Relationships
•Estimating the total risk of a stock.
•Estimating the market risk of a stock.
•As a by-product of learning to measure the market risk, you’ll also learn how to quantity the relationships between securities – something that will be a focal theme of portfolio management and investment / financial analysis.
•As with the expected returns, you’ll learn to measure risk manually as well as on Excel® / Google Sheets. Thanks to a solid understanding of why the equations work the way they do, you’ll see how Google Sheets can get things wrong, and what you can do to make sure you conduct financial analysis without incorrect / inaccurate estimates.
Measuring Portfolio Risk and Return
•Estimating the return of a 2 asset and multi-asset portfolio.
•Measuring the risk of a 2 asset and multi-asset portfolio.
•Discover the 3 factors that influence / impact portfolio risk – 1 of which is more important than the other two combined!
Exploring Diversification & Optimisation
•Risk reduction by diversification.
•Exploring Optimal Diversification – Number of Securities to Hold
•Optimising portfolio weights to achieve a target expected return.
•Minimising your portfolio risk (mathematically) using robust financial analysis techniques.
Decomposing Diversification
•Investigate and explore why, fundamentally, diversification works for financial analysis / investment analysis.
•Rethink the way you measure the relationships between securities for financial analysis by extending the current measure.
•Explore precisely how and why the most important factor of risk influences / impacts portfolio risk.
DESIGNED FOR DISTINCTION
We’ve used the same tried and tested, proven to work teaching techniques that’ve helped our clients ace their exams and become chartered certified accountants, get hired by the most renowned investment banks in the world, and indeed, manage their own portfolios. Here’s how we’ll help you master financial analysis and turn you into an Investment Analysis & Portfolio Management PRO:
A Solid Foundation
You’ll gain a solid foundation of the core fundamentals that drive the entire investment analysis and portfolio management process. These fundamentals are the essence of financial analysis done right.
Example Walkthroughs
Every major concept is taught with example question walkthroughs, so you can literally see how we analyse investments and conduct rigorous financial analysis, one step at a time.
Loads of Practice Questions
Apply what you learn immediately with 150+ practice questions, all with impeccably detailed solutions.
Cheat Sheets & Resources
Mathematical proofs, one page cheat sheets, workable Excel® & Google Sheet spreadsheets – all included.

Say goodbye to information overload.
Engage with carefully thought out, clutter-free, and engaging study materials that focus on the 20% finance fundamentals that drive 80% of the results.
Easily follow through complex financial analysis concepts with great visuals that don’t overdo it.
Explore byte-sized lectures that don’t cut corners – so you receive the right amount of information which will hold you in good stead wherever you go, whatever you move on to do.

Watch your confidence grow.
Apply what you learn immediately in example question walkthroughs and progressively challenging quizzes with impeccably detailed solutions.
Engage with over 150 questions ranging from simple true and false ones to more complex problems that take you outside your comfort zone.
Questions are relevant for Ivy League / Russell Group University students studying any core Finance / Financial Analysis course, as well as professionals studying for the ICAEW CFAB, ACA, ACCA, and CFA qualifications.
All questions designed in-house, by Russell Group Distinction Tutors.

Finally understand why  the math works.
Learn why we divide some variables by something, and multiply other variables by something else. Get past the painful approach of memorising countless equations. Not only will we rip apart each equation one variable at a time, we’ll also give you mathematical proofs that show the equation’s logic one step at a time. Save yourself time and effort by understanding why the equation works the way it does. Then go out and create your own equations, and redefine the way you conduct your own financial analysis.

Rigorously Analyse Investments & Manage Portfolios using Excel® & Google Sheets.
Enroll now and conduct your own financial analysis in a robust manner, from scratch.

What can you learn from this course?

✓ Calculate stock returns manually as well as on Excel and Google Sheets, using real world data obtained from free sources.
✓ Estimate the Expected Returns of Stocks using the Mean Method, State Contingent Weighted Probabilities, as well as Asset Pricing Models.
✓ Calculate the total risk, market risk, and firm specific risk of stocks from scratch, and explore how the different risks interact.
✓ Understand why the math works, and why equations work the way they do – even if your math is weak and if math freaks you out.
✓ Witness the power of diversification and how the risk of your portfolio can be lower than the individual assets that make up the portfolio!
✓ Measure your investment portfolio’s performance by calculating portfolio returns and risks.
✓ Optimise your investment portfolios by maximising your returns while minimising your risk.
✓ Decompose Diversification so you understand why it actually works (hint: it’s the mathematical “magic” of Rho)

What you need to start the course?

• No prior knowledge required. We start from the very basics. And build you to an Investment Analysis & Portfolio Management Guru.
• It’s okay if math freaks you out. Seriously. Every single equation is explained one variable at a time. We rip it apart to its core, and show you how simple it really is.
• Knowledge of basic statistical analysis is useful but NOT essential.
• You’ll need a calculator, access to Microsoft Excel® OR a Google account (Google Sheets).

Who is this course is made for?

• ACA, ACCA, CFA®, other Professional students
• Ivy League / Russell Group University students
• Finance Managers keen on applying conceptual techniques including portfolio design.
• Investors wanting to work with techniques that are rigorously grounded in academic and practitioner literature.
• Analysts, and aspiring Investment Bankers wanting to gain a solid foundation in investment analysis.
• Anyone who wants to learn investment analysis and portfolio management!

Are there coupons or discounts for Investment Analysis & Portfolio Management - Core Finance ? What is the current price?

The course costs $19.99. And currently there is a 82% discount on the original price of the course, which was $109.99. So you save $90 if you enroll the course now.
The average price is $19.2 of 111 Financial Analysis courses. So this course is 4% more expensive than the average Financial Analysis course on Udemy.

Will I be refunded if I'm not satisfied with the Investment Analysis & Portfolio Management - Core Finance course?

YES, Investment Analysis & Portfolio Management – Core Finance has a 30-day money back guarantee. The 30-day refund policy is designed to allow students to study without risk.

Are there any financial aid for this course?

Currently we could not find a scholarship for the Investment Analysis & Portfolio Management - Core Finance course, but there is a $90 discount from the original price ($109.99). So the current price is just $19.99.

Who will teach this course? Can I trust Fervent #LearnWithDistinction?

Fervent #LearnWithDistinction has created 9 courses that got 4,161 reviews which are generally positive. Fervent #LearnWithDistinction has taught 22,572 students and received a 4.5 average review out of 4,161 reviews. Depending on the information available, we think that Fervent #LearnWithDistinction is an instructor that you can trust.
Rigorous courses, backed by research, taught with simplicity
Fervent empowers you to master complex concepts in Finance and Accounting with distinction.
Explore student-centric courses that help you gain a genuine understanding of the intricacies of Finance and Accounting.
Learn by relying on the data, math, and logic exclusively. Not subjective opinions.
As a standard, Fervent’s courses come with:
– Carefully thought out, clutter-free HD video lessons that break the subject down to its core- Quizzes to help you test your understanding and track your progress- Assignments that take you outside your comfort zone.

Enroll now and start to Learn with Distinction.
Browse all courses by on Classbaze.

9.8

Classbaze Grade®

10.0

Freshness

9.1

Popularity

9.6

Material

Platform: Udemy
Video: 7h 57m
Language: English
Next start: On Demand

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