This course evaluates the origins of Modern Global Financial Trading & Risk Management as a guide for further study. Based on the pioneering work of Harry Markowitz and John Tobin we learn how anybody with today’s software and a reasonable financial education can model risky investment portfolios.

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Course Features

  • Duration : 10 week
  • Max Students : 1000
  • Enrolled : 90
  • Re-take Course : 2
  • Assessments : Self
Price :
₵6,500.00 ₵3,000.00

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