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In this 1-hour long project-based course, you will learn how to compare the performance of different securities using financial statistics (normal distributions) and the Google Sheets toolkit to decide which one performed the best in terms of risk-to-return (risk-to-reward) metrics. This will teach you how basic risk management using quantitative analysis is done and is applied in calculating mean returns of the stock, variance, standard deviation, the Sharpe ratio, and Sortino Ratio. Note: This course works best for learners who are based in the North America region. We're currently working on providing the same experience in other regions. This course's content is not intended to be investment advice and does not constitute an offer to perform any operations in the regulated or unregulated financial market....

Principales reseñas

VP

24 de jul. de 2020

It is a simple and easy course to understand and compare stock returns based on Sharpe and Sortino ratios. Very helpful for someone trying to understand the basics of stocks!

AN

14 de jul. de 2020

Amazing instructor and the teaching is done without any assumptions of the student having prior knowledge, implying every detail required to understand a topic is covered.

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