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Asset Pricing Models
Coursera
Course
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Asset Pricing Models

Università di Napoli Federico II

Cover advanced asset pricing topics, risk-return trade-offs, and portfolio optimization using CAPM and Arbitrage Pricing Theory models.

Unknown5 weeksKK, English

About this Course

The course covers several advanced topics in asset pricing, trading-off risks and return, and portfolio optimization. More precisely, students will first analyze two relevant extensions of the Capital Asset Pricing Model (CAPM) and learn how to determine the corresponding equilibrium in financial markets. Next, they will learn how to estimate empirically the risk-return relationship predicted by the Capital Asset Pricing Model. Students will also analyze two pricing models alternative to the CAPM. In the Arbitrage Pricing Theory, they will learn how to determine assets expected returns based on multiple risk factors and absence of arbitrage opportunities. In the Consumption Capital Asset Pricing Model, instead, they will learn how to solve the investors' joint consumption/investment decision problem and how to compute the equilibrium asset prices and expected returns in a dynamic pure exchange economy. Finally, the course concludes with a focus on the pricing of fixed income instruments

What You'll Learn

  • Understand portfolio choice principles and instrument pricing
  • Recognize main functions of financial markets
  • Analyze models’ impact on household and business investment

Prerequisites

  • Basic familiarity with finance terminology and models
  • Willingness to practice through exercises or case studies

Instructors

G

Giovanni Walter Puopolo

Associate Professor of Economics

Topics

Finance
Business
Math and Logic
Securities (Finance)
Statistical Methods
Fixed Asset
Time Series Analysis and Forecasting
Financial Modeling
Regression Analysis
Capital Markets

Course Info

PlatformCoursera
LevelUnknown
PacingUnknown
PriceFree

Skills

التمويل
الأعمال
الرياضيات والمنطق
الأوراق المالية
الأساليب الإحصائية
الأصول الثابتة
تحليل السلاسل الزمنية والتنبؤ
النمذجة المالية
Regression Analysis
Capital Markets

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