About Programme
Having the tools and knowledge to develop smart investment strategies has perhaps never been the current global climate. You need a solid understanding of how markets work combined with cutting-edge analytical skills and advanced quantitative tools that can guide management through uncertainty and into the future.
As a participant in the Investment Strategies (Online) program, you get an introduction to the investing as well as an incisive overview of capital markets and modern risk management. And you can put your knowledge into practice immediately.
Succeeding in active investing requires knowledge of the markets, confidence in crunching the numbers, and skill in analyzing and managing your investment instruments and risks. In this program, you will:
Analyze the performance of actively managed investment products
Discuss the underlying empirical evidence that informs investment decisions
Understand the theoretical foundation of active investment management
Apply modern risk management and analytical theory to stock selection
Please contact our partners at Emeritus at
columbiaemeritus.org
, 1 315-982-5094, or 1 315-277-2746 for a personal conversation to learn more.
Delivered in collaboration with
Blending financial history, theory, and data, this program emphasizes prudent risk management and data-driven decision making to help you make sound financial choices, avoid common investing pitfalls, and set you on a path of lifelong learning about markets and investing.
Programme Audience
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Same topic, Similar duration - Broader exploration across all institutes
Contact us for the further details
Speak with an Advisor
- Pedagogy (case method, experiential learning, coaching, simulations)
- Programme Objective
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Prashansa Uttam
Programme Advisor
Columbia Business School
Executive Education Office
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