Compare Stock Returns with Google Sheets

4.3

559 個評分

提供方

17,762 人已註冊

在此免費指導項目中,您將:
3 hours
面向初學者
無需下載
分屏視頻
英語(English)
僅限桌面

In this 1-hour long project-based course, you will learn how to compare the performance of different securities using financial statistics (normal distributions) and the Google Sheets toolkit to decide which one performed the best in terms of risk-to-return (risk-to-reward) metrics. This will teach you how basic risk management using quantitative analysis is done and is applied in calculating mean returns of the stock, variance, standard deviation, the Sharpe ratio, and Sortino Ratio. Note: This course works best for learners who are based in the North America region. We're currently working on providing the same experience in other regions. This course's content is not intended to be investment advice and does not constitute an offer to perform any operations in the regulated or unregulated financial market.

必備條件

您要培養的技能

  • Financial Data Analysis

  • Capital Market

  • Quantitative Analysis

分步進行學習

在與您的工作區一起在分屏中播放的視頻中,您的授課教師將指導您完成每個步驟:

指導項目工作原理

您的工作空間就是瀏覽器中的雲桌面,無需下載

在分屏視頻中,您的授課教師會為您提供分步指導

授課教師

審閱

來自COMPARE STOCK RETURNS WITH GOOGLE SHEETS的熱門評論

查看所有評論

常見問題