Learners will analyze hedge fund strategies, evaluate leverage practices, apply accounting techniques, and assess risk management tools through real-world case studies. This course equips participants with the ability to interpret fund structures, calculate NAV, measure exposures using Value at Risk (VaR), and evaluate failures like LTCM and Amaranth to strengthen modern investment practices.

您将学到什么
Analyze hedge fund strategies, leverage, and accounting methods.
Calculate NAV, apply VaR, and assess stress-testing outcomes.
Evaluate case studies like LTCM and Amaranth for risk insights.
您将获得的技能
- Case Studies
- Tax Laws
- Risk Management Framework
- International Finance
- Financial Trading
- Derivatives
- Risk Modeling
- Hedge Accounting
- Fund Accounting
- Investment Management
- Statistical Analysis
- Portfolio Management
- Risk Analysis
- Analysis
- Regression Analysis
- Accounting
- Financial Analysis
- Risk Management
- Portfolio Risk
- 技能部分已折叠。显示 11 项技能,共 19 项。
要了解的详细信息

添加到您的领英档案
16 项作业
October 2025
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该课程共有4个模块
This module introduces hedge fund style analysis and the use of leverage, exploring analytical techniques, regression models, and the practical risks and opportunities associated with borrowing capital to amplify returns.
涵盖的内容
10个视频3个作业
This module examines hedge fund accounting structures, taxation rules, and operational practices, highlighting offshore setups, carried interest, NAV calculations, and reporting requirements.
涵盖的内容
17个视频4个作业
This module focuses on hedge fund risk management foundations, including exposure measurement, Value at Risk (VaR), advanced tools like stress testing and drawdowns, and case studies on systemic risk events.
涵盖的内容
19个视频5个作业
This module explores real-world hedge fund case studies, examining the successes of leading funds and the failures of legendary collapses to highlight the broader economic impacts of hedge fund practices.
涵盖的内容
11个视频4个作业
获得职业证书
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学生评论
- 5 stars
90.90%
- 4 stars
0%
- 3 stars
9.09%
- 2 stars
0%
- 1 star
0%
显示 3/10 个
已于 Feb 24, 2026审阅
The explanation of Value at Risk (VaR) and exposure measurement was practical and well structured. Complex risk concepts were simplified without losing depth.
已于 Feb 16, 2026审阅
I really appreciated how the course combines theory with real-world case studies. Analyzing examples like LTCM and Amaranth helped me understand the real consequences of risk mismanagement.
已于 Feb 21, 2026审阅
The sections on NAV calculation and fund structures were extremely insightful. I now feel much more confident interpreting hedge fund financial statements.







