By the end of this course, learners will be able to analyze macroeconomic drivers, evaluate capital market expectations, and apply structured frameworks to support portfolio management decisions across global asset classes. Learners will develop the ability to interpret economic growth trends, assess inflation dynamics, and evaluate the impact of monetary and fiscal policies on investment returns.

Analyze Capital Market Expectations for Portfolio Management

位教师:EDUCBA
访问权限由 New York State Department of Labor 提供
您将学到什么
Analyze macroeconomic drivers shaping capital market expectations.
Evaluate inflation, interest rates, and policy impacts on asset returns.
Apply CME frameworks to support portfolio management decisions.
您将获得的技能
要了解的详细信息

添加到您的领英档案
6 项作业
February 2026
了解顶级公司的员工如何掌握热门技能

该课程共有2个模块
This module introduces the structured process of developing Capital Market Expectations (CMEs), focusing on frameworks, tools, limitations, and economic growth analysis to support long-term portfolio management decisions.
涵盖的内容
5个视频3个作业
This module examines how inflation, monetary and fiscal policies, and emerging market dynamics influence asset class behavior and capital market expectations across global portfolios.
涵盖的内容
4个视频3个作业
人们为什么选择 Coursera 来帮助自己实现职业发展

Felipe M.

Jennifer J.

Larry W.

Chaitanya A.
从 Business 浏览更多内容

New York Institute of Finance

Corporate Finance Institute




