
Alternative Approaches to Valuation and Investment





This course provides an introduction to alternative approaches to valuation and investment. Participants will learn the intuitive foundations of asset and investment valuation, and how to apply alternative valuation techniques in practice. Through the partnership between the University of Melbourne and Bank of New York Mellon (BNY Mellon), participants will gain a comprehensive understanding of the fundamentals of asset and investment valuation.▼
Course Feature
Cost:
Free
Provider:
Coursera
Certificate:
Paid Certification
Language:
English
Start Date:
31st Jul, 2023
Course Overview
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Updated in [May 25th, 2023]
This course provides learners with an understanding of the fundamentals of asset and investment valuation, and how alternative valuation techniques can be used in practice. Learners will gain an understanding of the different approaches to valuation, such as discounted cash flow, relative valuation, and real options analysis. They will also learn how to apply these techniques to different types of investments, such as stocks, bonds, and derivatives. Additionally, learners will gain an understanding of the importance of risk management and portfolio optimization in the context of valuation and investment. Finally, learners will gain an understanding of the role of financial markets in the valuation and investment process.
[Applications]
Upon completion of this course, participants will be able to apply the alternative approaches to valuation and investment to their own work. They will be able to use the techniques to assess the value of assets and investments, and to make informed decisions about their own investments. Additionally, participants will be able to use the knowledge gained in this course to advise others on their investments.
[Career Paths]
1. Investment Analyst: Investment analysts are responsible for researching and analyzing financial data to make investment decisions. They must be able to interpret financial statements, analyze market trends, and understand the risks and rewards associated with different investments. As the financial markets become increasingly complex, the demand for investment analysts is expected to grow.
2. Financial Risk Manager: Financial risk managers are responsible for assessing and managing the financial risks associated with investments. They must be able to identify potential risks, develop strategies to mitigate them, and monitor the performance of investments. With the increasing complexity of the financial markets, the demand for financial risk managers is expected to grow.
3. Portfolio Manager: Portfolio managers are responsible for managing the investments of their clients. They must be able to analyze financial data, develop investment strategies, and monitor the performance of investments. As the financial markets become increasingly complex, the demand for portfolio managers is expected to grow.
4. Investment Banker: Investment bankers are responsible for providing financial advice to their clients. They must be able to analyze financial data, develop investment strategies, and advise their clients on the best course of action. With the increasing complexity of the financial markets, the demand for investment bankers is expected to grow.
[Education Paths]
1. Bachelor of Business Administration (BBA): This degree program provides students with a comprehensive understanding of business principles and practices, including accounting, finance, marketing, operations, and organizational behavior. It is an ideal choice for those interested in pursuing a career in corporate finance, as it provides a strong foundation in the fundamentals of business and finance. Additionally, the degree program is designed to prepare students for the ever-changing business environment, with a focus on developing the skills necessary to succeed in the corporate world.
2. Master of Science in Finance (MSF): This degree program is designed to provide students with a deeper understanding of the principles of finance, including financial analysis, portfolio management, and risk management. It is an ideal choice for those looking to specialize in corporate finance, as it provides a comprehensive overview of the field and the necessary skills to succeed in the industry. Additionally, the degree program is designed to prepare students for the ever-changing financial landscape, with a focus on developing the skills necessary to succeed in the corporate world.
3. Master of Business Administration (MBA): This degree program provides students with a comprehensive understanding of business principles and practices, including accounting, finance, marketing, operations, and organizational behavior. It is an ideal choice for those interested in pursuing a career in corporate finance, as it provides a strong foundation in the fundamentals of business and finance. Additionally, the degree program is designed to prepare students for the ever-changing business environment, with a focus on developing the skills necessary to succeed in the corporate world.
4. Master of Science in Investment Management (MSIM): This degree program is designed to provide students with a deeper understanding of the principles of investment management, including financial analysis, portfolio management, and risk management. It is an ideal choice for those looking to specialize in corporate finance, as it provides a comprehensive overview of the field and the necessary skills to succeed in the industry. Additionally, the degree program is designed to prepare students for the ever-changing financial landscape, with a focus on developing the skills necessary to succeed in the corporate world.
Pros & Cons
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Informative and practical
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Median difficulty level
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Challenging but achievable
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Easy to understand
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Helpful for personal investment
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Refresher course for finance background
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Interesting content
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Well established structure
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Refreshes basic investment theory
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Great for aspiring portfolio managers
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Difficult to get peer assignments graded
Course Provider
