Learn how to analyze and apply portfolio management strategies to optimize risk-return trade-offs, evaluate investment vehicles, and align portfolios with strategic goals. This course combines portfolio governance, investment analysis, asset allocation, and quantitative techniques into one practical learning path.
The course begins with the foundations of portfolio management and PFMP concepts, explaining how portfolios align with organizational strategy and how project, program, and portfolio management work together to deliver strategic value. Learners will understand portfolio governance, key roles, PMO involvement, and value creation through structured decision-making.
As the course progresses, learners explore investment vehicles, asset classes, institutional portfolio applications, diversification, correlation, and investor risk preferences. The course then introduces return measurement and portfolio optimization techniques using statistical tools such as variance, standard deviation, and covariance.
Advanced modules focus on efficient portfolio construction, capital market theory, risk classification, strategic asset allocation, and investment policy statements. Learners will understand how financial and strategic frameworks support better portfolio decisions.
What makes this course unique is its integrated approach combining PFMP-aligned strategic portfolio management with practical investment portfolio theory. By the end of the course, learners will be able to evaluate portfolio choices, optimize risk and return, apply asset allocation strategies, and support strategic decision-making in investment and organizational portfolio environments.
This module introduces the core concepts of portfolio management and the PFMP framework, explaining how portfolios align with organizational strategy and how project, program, and portfolio management interrelate to deliver strategic value.
涵盖的内容
7个视频4个作业
显示有关单元内容的信息
7个视频•总计41分钟
Introduction to Portfolio Management•2分钟
Outline and Content of PFMP•4分钟
More on Portfolio Management•5分钟
PFMP Standard and its Purpose•5分钟
Definition Of PFMP•10分钟
Comparison of Project and Portfolio Management•9分钟
PFMP and Organizational Strategy•7分钟
4个作业•总计60分钟
Introduction to Portfolio Management Concepts•10分钟
Understanding PFMP Standards and Definitions•10分钟
Portfolio vs Project Management Dynamics•10分钟
Graded - Foundations of Portfolio Management & PFMP•30分钟
Portfolio Governance, Roles & Value Creation
第 2 单元•小时 后完成
单元详情
This module explores portfolio governance, organizational alignment, and value creation, focusing on roles such as portfolio managers and PMO, and how effective governance drives strategic decision-making and business outcomes.
涵盖的内容
6个视频4个作业
显示有关单元内容的信息
6个视频•总计31分钟
Business Value PFMP•3分钟
PFMP Component Management Relationship•5分钟
Role of Portfolio Manager•6分钟
Role of PMO in PFMP•4分钟
Conclusion•4分钟
Portfolio Basis for Endowments•9分钟
4个作业•总计60分钟
Strategic Value and Organizational Alignment•10分钟
Roles in Portfolio Management Ecosystem•10分钟
Wrapping Up PFMP Foundations•10分钟
Grad4ed - Portfolio Governance, Roles & Value Creation•30分钟
Investment Vehicles & Portfolio Basics
第 3 单元•小时 后完成
单元详情
This module examines different investment vehicles, asset classes, and institutional portfolio applications while introducing key concepts such as diversification, correlation, and investor risk preferences.
This module focuses on return measurement techniques, efficient portfolio construction, and statistical tools such as variance, standard deviation, and covariance to support data-driven investment decisions.
涵盖的内容
6个视频4个作业
显示有关单元内容的信息
6个视频•总计46分钟
Return Measures•11分钟
Money Weighted Return - Problem•3分钟
Minimum Variance Frontier and Efficient Frontier•6分钟
Advanced Portfolio Construction & Asset Allocation
第 5 单元•小时 后完成
单元详情
This module covers advanced portfolio construction techniques, including capital market theory, risk classification, strategic asset allocation, and the development of investment policy statements (IPS).
涵盖的内容
8个视频4个作业
显示有关单元内容的信息
8个视频•总计61分钟
Return Generating Models•12分钟
Combining Risky and Risk Free Asset•5分钟
CAL, CML, Systematic and Unsystematic Risk•10分钟
Assumptions of Capital Market Theory•8分钟
Other Ratios•9分钟
Strategic Asset Allocation•4分钟
Basic of Portfolio Planing and Construction•7分钟
Major Components of an IPS•6分钟
4个作业•总计60分钟
Models and Risk-Return Integration•10分钟
Capital Market Theory and Risk Types•10分钟
Portfolio Construction and Strategic Allocation•10分钟
Graded - Advanced Portfolio Construction & Asset Allocation•30分钟
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