概述人类社会管理风险和促进企业发展的理念、方法和制度。 强调精通财务的领导技能。描述当今的实践,分析未来的前景。介绍风险管理和行为金融学原理,以了解证券、保险和银行业的实际运作。 本课程的最终目标是有效地利用这些行业,使社会更加美好。

您将获得的技能
- Portfolio Risk
- Financial Industry Regulatory Authorities
- Financial Market
- Finance
- Securities (Finance)
- Financial Regulation
- Investment Banking
- Equities
- Capital Markets
- Bank Regulations
- Financial Systems
- Governance
- Financial Services
- Portfolio Management
- Financial Management
- Risk Management
- Investments
- Financial Regulations
- Banking
- Behavioral Economics
要了解的详细信息
了解顶级公司的员工如何掌握热门技能

人们为什么选择 Coursera 来帮助自己实现职业发展

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学生评论
- 5 stars
85.59%
- 4 stars
11.70%
- 3 stars
1.48%
- 2 stars
0.34%
- 1 star
0.87%
显示 3/32191 个
已于 Oct 25, 2021审阅
This course is so useful to know about finance in depth it gives more examples about the finance . It help to make more decision in finance market. It also motivate students to attract towards finance
已于 Jun 15, 2020审阅
Through this course, I have learned not only technical financial terms but much deeper meaning of the financial markets which I always wanted to understand. I feel very lucky that I took this course.
已于 Nov 3, 2018审阅
This was really a great experience. A course taught by a valued teach. Enjoyed it all the way though I would have liked more mathematical and theoretical models. But then where do you end in a MOOC ?
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Università di Napoli Federico II

University of Geneva
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