I signed up for the 財務リスクマネジメント course to fill the gaps in my understanding of liquidity risk, and it delivered exactly that. The casual teaching style made complex topics like cash‑flow forecasting feel approachable, and the Python notebooks gave me a practical toolkit for stress‑testing my portfolio. I especially loved the downloadable cheat‑sheet on risk‑adjusted performance metrics – I use it every day at my job in a London investment firm. The course content was up‑to‑date and the instructor was quick to answer questions on the forum, which made the whole experience very satisfying.
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