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Learner reviews & feedback for Portfolio and Risk Management

4.72,467 reviews

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Featured reviews

EM

4.0Reviewed May 3, 2018

Great course - wish there were more examples or exercises on the more technical, math-intensive topics like VaR and ES instead of just an extended explanation of the theory behind the formulas.

DT

4.0Reviewed Jul 22, 2020

This course has increased my knowledge and understanding of portfolio and risk management. Many important topics have been covered by the instructors which are useful for the learners of finance.

CF

5.0Reviewed Nov 25, 2020

Definitely not for people without economical and some math knowledge, but Great content, and fully recommend for anybody looking to improve their knowledge to better take care of your portfolio!

EL

4.0Reviewed Dec 28, 2025

Very interesting but a somewhat discursive course transforms itself in the fourth module, with numbers, constants and formulas which popup copiously.

SI

5.0Reviewed Mar 13, 2018

The great Modern Portfolio Theory! If you are into portfolio investment, this course is a must for you. You can learn how to get a lunch almost free...

AB

5.0Reviewed Sep 16, 2016

i recommend this course for every one interested to understand the dynamics of financial markets and the future trends of financial markets and portfolio management

JO

4.0Reviewed Dec 24, 2020

Most part of the courses were quite good, excepted the part on currency risk where i thought it was abit too technical, too much formulas for the currency lectures

AG

5.0Reviewed May 5, 2020

Excellent course. I would suggest giving numerical examples in the lessons related to CVaR and ES, like it was done for currency hedging. Otherwise excellent material.

LG

5.0Reviewed May 28, 2021

A​t times a bit hard to follow but nevertheless great course to help you understand how to manage and create optimal portfolios and manage the risks accordingly

OD

5.0Reviewed Jan 26, 2018

Good course. Highly recommended for Risk Managers who are looking for digging more into Efficient frontier, Value-at-Risk, Expected Shortfall, Variance-Covariance approach, etc.

GG

5.0Reviewed Aug 28, 2020

This is was an incredible course. If you have a little bit of background on these topics you will be amazed by how the instructors present complex concepts in a very simple and understandable way.

WM

5.0Reviewed Sep 10, 2016

Thoroughly engaging presentation of a topic that was very much esoteric to me previously. I would highly recommend this course to anyone looking for insight into portfolio and risk management.

All reviews

Showing: 20 of 406

Sam Sati
2.0
Reviewed Apr 15, 2018
Stephen Schmidt
5.0
Reviewed Oct 1, 2016
Gabriel
4.0
Reviewed Apr 27, 2017
Cindy Molitor
3.0
Reviewed Oct 8, 2017
Prashant Nagpal
3.0
Reviewed Jan 13, 2019
Vinayak Iyer
5.0
Reviewed Apr 17, 2020
William McEvoy
5.0
Reviewed Sep 11, 2016
Arvind Kumar Srivastava
5.0
Reviewed Mar 20, 2019
Carlos Florez
5.0
Reviewed Nov 25, 2020
Mykola Oleksiienko
5.0
Reviewed Sep 20, 2021
Simarjeet Singh
5.0
Reviewed Jun 25, 2020
Marc Tomaszewski
5.0
Reviewed Feb 18, 2023
Kasidis Suwanampai
5.0
Reviewed Sep 10, 2016
Oleksandr Demchyk
5.0
Reviewed Jan 27, 2018
ahmed bayoumi
5.0
Reviewed Sep 17, 2016
Mhd Firas Safadi
2.0
Reviewed Aug 1, 2021
Elena Nazvanova
2.0
Reviewed Aug 31, 2021
Marko Previsic
2.0
Reviewed Jul 1, 2020
Tom Schaber
2.0
Reviewed Nov 26, 2016
shreeya ghaghda
5.0
Reviewed Nov 1, 2022