Portfolio Management Series
Portfolio managers may attempt to beat or match an index or specific liability structure. However, the process of choosing a strategy and investing within said strategy is crucial to meeting the goals of the asset manager, institutional, or individual investor. Choosing an optimal asset mix, as well as determining which is best suited given a specific risk tolerance is fundamental to the task. The portfolio manager must consider many risk factors, including market risk, credit risk, and liquidity risk.
ADDITIONAL VIRTUAL INSTRUCTOR-LED SEMINARS
- All
- ALM
- Compliance Series
- Derivatives Series
- Digital Assets, Cryptocurrency, and Blockchain Series
- Financial Statement Analysis and Accounting
- Fixed Income Series
- Introduction to Capital/Financial Markets
- Operations Series
- Portfolio Management Series
- Quantitative Methods and Excel
- Risk Management Series
- Securitization Series
- Structured Products Series