JM
6 авг. 2020 г.
Very well explained and helpful course in the series of Mr. Ochilov's series of courses in collaboration with the Coursera Project Network.
AS
22 авг. 2020 г.
Project is good, but navigation is complecated, it is very difficult to understand the process flow
автор: Jonathan D M
•6 авг. 2020 г.
Very well explained and helpful course in the series of Mr. Ochilov's series of courses in collaboration with the Coursera Project Network.
автор: Abhishek S
•23 авг. 2020 г.
Project is good, but navigation is complecated, it is very difficult to understand the process flow
автор: Nilyufar R
•29 авг. 2021 г.
Practical and valuable for fresh finance graduates who further wanna take their learning to the next level. By taking this guided project I worked on Excel where I used financial formulas such as Stdev, VAR & COVAR to decipher the beta (systematic risk) and overall risk (systematic and unsystematic) of the single stock and portfolio. Moreover, I have learnt about alpha which shows how one's investment choice performed well compared to the proxy market or an index. To sum it up, it is a useful course for young starters who want to grow and progress in their career.
автор: A.Praveena
•4 мая 2021 г.
Its quite useful in understanding how returns are calculated
автор: Wa T
•31 янв. 2022 г.
Please provide access to the spreadsheet of returns.
автор: Cường D
•5 окт. 2021 г.
Thanks Tutor. I'm so happy to be under your tutoring
автор: Madad H
•30 мар. 2021 г.
WELL-DONE!
автор: Aracatla s
•23 авг. 2020 г.
Very good
автор: Allu P K
•2 июля 2020 г.
good one
автор: Raja R G K
•1 авг. 2020 г.
Great!
автор: Punith G
•25 дек. 2021 г.
To the Point and covers all the imporant topics, which are required in calucation the portfolio returns.
автор: Bhakti A
•19 июля 2020 г.
Amazing learning platform
автор: Akshat H
•9 авг. 2021 г.
Great
автор: Shireesha S
•21 июля 2020 г.
yes