Interpret Alpha & Beta with Regression Course
by Coursera
★ 7.8/10
Learn how to use regression analysis to interpret alpha and beta in portfolio performance. Master risk and return evaluation with this intermediate finance course.
Why this course
- Clear focus on practical financial metrics like alpha and beta
- Teaches regression in context of real investment decisions
- Builds skills directly applicable to portfolio analysis roles
- Well-structured progression from theory to application
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