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Вернуться к Управление инвестициями в современной быстро меняющейся экономической среде: секреты инвестиционных менеджеров HEC Paris и AXA

Отзывы учащихся о курсе Управление инвестициями в современной быстро меняющейся экономической среде: секреты инвестиционных менеджеров HEC Paris и AXA от партнера Высшая коммерческая школа HEC в Париже

Оценки: 634
Рецензии: 134

О курсе

Have you ever wanted to invest in financial markets, but were always afraid that you didn’t have the proper tools or knowledge to make informed decisions? Have you ever wondered how investment management companies operate and what fund managers do? AXA Investment Managers, in partnership with HEC Paris, will introduce you to the most important ideas and concepts in investment management, to help you better understand your financial future. This course will enable you to: • Define what type of investor you are, your investment objectives, and potential constraints. • Identify the main investable assets and important players in financial markets. • Understand basic portfolio management techniques. • Apply these techniques in real case studies from the outset, through practical assessments. Finally, we will provide a comprehensive overview of today's asset management industry: the product cycles, professionals, and regulations. For those who want to identify a talented fund manager to invest for you, we offer important criteria for selecting one. For those who are interested in learning more about this fascinating industry, we lay the foundation for your ongoing financial journey. Join us now to explore the world of investment management! Course Specialists The course has been developed in collaboration between HEC Paris, with Hugues Langlois managing the academic aspect, and AXA Investment Managers specialists, sharing their experiences and expertise and coordinated by Marion Le Morhedec. AXA Investment Managers participants include Maxime Alimi, Stephanie Condra, Nicholas Jeans, Elodie Laugel, Pierre-François de Mont-Serrat, Jean-Gabriel Pierre (AXA Group), Dorothée Sauloup, Irina Topa-Serry, Fiona Southall, Patrice Viot Coster, Susanna Warner, and Joachim Weitgasser. Recommended Background We expect most participants to have a basic level of knowledge in mathematics and economics. However this is not essential, and we believe that people from any background can succeed with commitment and a strong interest. Be aware that in the case study, you will have to use Excel. Course Format This course will run for 4 weeks and consists of 4 modules, each with a series of lecture videos between 5 to 8 minutes long. Each module contains a set of practice and graded quiz questions. A complete portfolio management exercise covers concepts learned in all modules Language The course is in English, with Spanish, Italian, German, French, and Chinese (Simplified) subtitles. The Project The preparation of this MOOC has been an exciting adventure for many professionals at AXA Investment Managers and HEC, both for the speakers and a wealth of contributors. Thank you to all of them. We hope you enjoy this course as much as we enjoyed creating it!...

Лучшие рецензии

25 мая 2020 г.

A course that has taught me more about the "Quantitative Methods" of calculations of Optimal Asset Allocation, Regression and Descriptive Statistics regarding Portfolio management techniques.

7 июня 2017 г.

Definitely rigorous and challenging. A great course to continue you maturation in investment management and portfolio analysis. Great resources and materials. Highly recommend this course.

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101–125 из 132 отзывов о курсе Управление инвестициями в современной быстро меняющейся экономической среде: секреты инвестиционных менеджеров HEC Paris и AXA

автор: Amritansh K

20 мая 2020 г.

The content and the guidance is priceless, I mean the professors and their experience is a blessing to this course yet, the problem I faced was to understand the different English accent of some tutors and had to read it properly to understand.

автор: Sebastian A H

28 сент. 2019 г.

The course gives a clear and broad overview about the investment management industry. Recommended if you already have some foundamental knowledge in general finance and want to het more acquainted with asset management.

автор: Dorian W

22 янв. 2020 г.

Great course for understanding the basics and some in-depth topics of investment management.

In the last chapters there wasn't any explanation for mistakes in the tests though which would have definetely helped.

автор: Anne L T

9 апр. 2020 г.

Unfortunately, the task descriptions in the honors quizzes are very unclearly formulated, making it hard to answer and understand these tasks. Apart from that I thoroughly enjoyed this course!

автор: David F

13 июня 2018 г.

Really good and interesting content. Really nice for beginners like me. Just one bad thing : a wrong translation in a module, but nothing more. Thanks HEC, AXA IM & Coursera ! :-)

автор: Charles-Henri S

27 мая 2020 г.

Thank you very much to all for this course. I really enjoyed the quant part and especially exercises in Excel. Would be interesting to add a quantitative recap chapter !

автор: Sharon S

1 июля 2020 г.

Key principles and overview are excellent. Technicals and quantitative aspects were too fast and detailed for me. Probably more useful for analyst level interests

автор: Rishi R V

14 июня 2019 г.

An informational course which explained some useful concepts and techniques. But it could have been more comprehensive with further examples and cases.

автор: Mathieu H

17 мар. 2019 г.

Good overview of the asset management industry. Week 4 start was a little too fast on beta and alpha it was hard to follow for non initiated students.

автор: Muhammad A N

19 сент. 2019 г.

Really good course which bridge the gap between finance theories and application to real life situation like portfolio management

автор: NGOM N

6 июня 2017 г.

Interesting course, an excellent introduction but need to go deeper. How about creating a specialization?

автор: Giovanni

17 дек. 2018 г.

Versatile and well structured. Offers a comprehensive and exaustive dissertation on topic.

автор: Giovanni B

16 июля 2020 г.

Not all topics were fully covered and a backgrund of financial knowledge is necessary


14 июня 2016 г.

Interessant et assez instructif pour avoir une connaissance de cette partie de l'in

автор: PIERRE P

13 авг. 2019 г.

Un cours parfaitement structuré et rythmé, qui va au fond du sujet.

автор: Abhishek M

27 февр. 2019 г.

Good course to understand basics of personal investing.

автор: victor t

22 апр. 2020 г.

Très bon cours avec de très bon ontervenants

автор: Damien B

11 авг. 2017 г.

Bon contenu et assez clair

автор: Animalla S

1 мая 2020 г.

Too many tests

автор: Agustin Z

10 нояб. 2016 г.

The course topics are great and I have to admit that I learned a lot during this course. The provided materials are good, but in my opinion sometimes not enough to be able to answer some of the questions in the tests. I had to spend some time researching the web to work out some of the problems. This per se is definitely not bad (it rather resembles real life), but all the other courses I have taken on Coursera and other platforms provide enough material and/or explanations to be able to work out all the problems without needing to look it up somewhere else.

The problem-solving issue also has to do, to a certain extent, with the formulation both of some questions and answers, which in some cases can be understood in different ways because a key word is missing or is wrong, usually prepositions. I am aware of the fact that the course creators are not native English speakers, but, when formulating questions and answers, they should take the time to check their formulations for grammar and correctness (I am sure there would be no mistakes if the course were in French :) ).

I posted a couple of questions on the forums and, sadly, never received an answer. Neither from fellow students, nor from the course moderators. Certainly the fellow students do not have any obligation to reply to questions, and I usually would say the course moderators don't either. But I am paying for this certificate and I therefore expect some kind of support. I am sure the course moderators are very busy and do not have time to be browsing around the question forums every day, but so am I. And taking a look in the forums once a week or so wouldn't hurt. Let me also point out, that the 2 questions I posted are THE ONLY questions in the forums, so it's not as if the moderators would be overwhelmed by the amount of questions posted. After my second question, I knew I was all by myself. From other courses I know that course moderators chime in once in a while on questions that have not been answered by fellow students and when no fellow student seems to be able to find or provide a correct answer.

The course is good, and you will learn a lot. If it weren't for the lack of support in the forums, I would give it 4 or maybe even 5 stars, depending on the responses I would receive.

Either way, enjoy the course!! I really did, even if it may not sound like it :)

автор: BECHIKH N

2 июля 2020 г.

With appreciation to all people who contributed to give this course, please when you read my critics do not get upset. My critics are constructive. Personally, I am a doctor in business administration and I have two masters, one in banking & finance and another one in accounting and tax and I completed this training with honors. The content of this course is fairly good. The issue, is that the contribution of the academic participant is not that great, he provide formulas with poor explanation of the parameters and the overall objective or the different use of the formulas. For example in module 4 he does not explain what does mean regression and the objective of regression in using multiple factors. On the other hand the contribution of the professionals from AXA I.M. is great.

This training has some errors in some answers but are not significant at all.

I recommend this training if you are average and above in mathematics (it is not difficult). You have to understand certain used metrics in statistics such as variance, covariance, correlation etc.

The advantage of this training: you will understand all the details related to investment management, starting from the objectives of different types of investors, passing by the different asset classes and the risks impacting the asset allocation for optimised portfolio, until explaining the techniques or criteria used to select a fund manager.

Overall, I recommend this course.

автор: Antoine D

20 мар. 2017 г.

Very interesting course but also very technical. I'd rather say it is not made for someone who has no basics in 'advanced' mathematics. Nevertheless, I have learnt many useful things and I have now a great outlook on the asset management world.

автор: Alexandre P

9 янв. 2017 г.

Great course overall. However it does not go deep enough into its topic. Would have been nice to have more challenging excel exercices.

автор: Ricardo O L

3 дек. 2019 г.

Pienso que el curso esta muy bien, pero me gustaría más si pusieran ejemplos aplicando las formulas que nos dan.

автор: Carlos L K R

1 сент. 2020 г.

There are many interpretations that should be treated more carefully. Otherwise, great content!