Portfolio Management: Balancing Emotion, Risk & Finance

Master financial planning: Manage your portfolio, navigate risks, and balance emotions in investments
4.49 (41 reviews)
Udemy
platform
English
language
Finance
category
Portfolio Management: Balancing Emotion, Risk & Finance
6,818
students
2.5 hours
content
Jun 2024
last update
$19.99
regular price

What you will learn

Master the art of financial planning and understand how to balance emotions and risks in portfolio management

Gain insights into milestone planning, personal portfolio management, and the impact of macroeconomic conditions.

Learn to select the right financial instruments, manage financial risk, and plan for a smooth transition of wealth

Understand the financial life cycle, the role of emotions in financial planning, and how to make informed investment decisions

Screenshots

Portfolio Management: Balancing Emotion, Risk & Finance - Screenshot_01Portfolio Management: Balancing Emotion, Risk & Finance - Screenshot_02Portfolio Management: Balancing Emotion, Risk & Finance - Screenshot_03Portfolio Management: Balancing Emotion, Risk & Finance - Screenshot_04
5646154
udemy ID
11/6/2023
course created date
12/28/2023
course indexed date
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