Investment Portfolio Analytics and Risk Management
About this course
Learn how to analyze financial instruments, manage investment portfolios, and apply portfolio analytics and risk management strategies using practical software-based workflows. This course provides hands-on skills in portfolio tracking, investment analysis, reporting, derivatives, and hedging for modern financial management. The course begins with the foundations of asset management, helping learners understand equity investments, mutual funds, insurance-linked products, and the core principles of portfolio creation and tracking. Learners will also explore bonds, deposits, private equity, and physical assets to build diversified portfolios. As the course progresses, learners focus on investment data management, including importing financial data, performing manual portfolio entries, and maintaining reliable investment records. The course also explains broker contract notes, equity data workflows, and report generation for effective portfolio analysis. Advanced modules cover portfolio analytics, transaction analysis, realized and unrealized gains, return calculation methods, derivatives, options strategies, and margin trading concepts. Learners will also apply hedging and risk management techniques to improve investment decision-making and portfolio stability. What makes this course unique is its practical, software-driven approach that bridges financial theory with real-world portfolio management execution. By the end of the course, learners will be able to confidently manage investment portfolios, analyze performance, generate professional reports, and apply risk management strategies used in the financial industry.
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