EDUCBA

Investment Management and Capital Markets Specialization

EDUCBA

Investment Management and Capital Markets Specialization

Master Investment And Capital Markets.

Build equity, bond, trading, and portfolio skills for investment decisions

EDUCBA

Instructor: EDUCBA

Included with Coursera Plus

Get in-depth knowledge of a subject
Beginner level

Recommended experience

2 months to complete
at 10 hours a week
Flexible schedule
Learn at your own pace
Get in-depth knowledge of a subject
Beginner level

Recommended experience

2 months to complete
at 10 hours a week
Flexible schedule
Learn at your own pace

What you'll learn

  • Analyze equity and bond investments using valuation models, yield measures, and risk-return frameworks.

  • Evaluate capital market behavior, trading systems, settlement processes, and investor decision patterns.

  • Build diversified portfolios using asset allocation, Modern Portfolio Theory, and performance metrics.

Details to know

Shareable certificate

Add to your LinkedIn profile

Taught in English
Recently updated!

May 2026

91%

of learners achieved a positive career outcome

See how employees at top companies are mastering in-demand skills

 logos of Petrobras, TATA, Danone, Capgemini, P&G and L'Oreal

Advance your subject-matter expertise

  • Learn in-demand skills from university and industry experts
  • Master a subject or tool with hands-on projects
  • Develop a deep understanding of key concepts
  • Earn a career certificate from EDUCBA

Specialization - 6 course series

Equity Valuation and Market Behavior

Equity Valuation and Market Behavior

Course 1, 16 hours

What you'll learn

  • Analyze financial systems, equity markets, and investment risk-return dynamics.

  • Apply valuation models to estimate intrinsic value and compare investments.

  • Interpret market behavior and behavioral finance concepts in investing decisions.

Skills you'll gain

Category: Competitive Analysis
Category: Financial Systems
Category: Performance Measurement
Category: Risk Management
Category: Capital Markets
Category: Market Data
Category: Financial Market
Category: Financial Trading
Category: Market Analysis
Category: Investments
Category: Financial Data
Category: Equities
Category: Market Liquidity
Category: Market Dynamics
Category: Financial Analysis
Category: Portfolio Management
Category: Investment Management
Category: Securities Trading
Category: Business Valuation
Category: Behavioral Economics
Equity Investments and Valuation Strategies

Equity Investments and Valuation Strategies

Course 2, 12 hours

What you'll learn

  • Analyze financial markets, equity instruments, and industry dynamics effectively.

  • Apply valuation models including dividend discount and multiplier approaches.

  • Assess investor behavior and market efficiency for investment decision-making.

Skills you'll gain

Category: Competitive Analysis
Category: Capital Markets
Category: Business Valuation
Category: Financial Market
Category: Equities
Category: Financial Systems
Category: Financial Trading
Category: Investments
Category: Financial Analysis
Category: Market Analysis
Category: Market Dynamics
Category: Investment Management
Category: Portfolio Management
Category: Behavioral Economics
Equity Trading and Settlement Systems

Equity Trading and Settlement Systems

Course 3, 9 hours

What you'll learn

  • Analyze equity trading concepts and evaluate market participants effectively.

  • Apply trading strategies including margin trading, hedging, and short selling.

  • Explain the equity trade lifecycle, clearing, and settlement processes accurately.

Skills you'll gain

Category: Transaction Processing
Category: Operational Risk
Category: Investments
Category: Capital Markets
Category: Financial Market
Category: Investment Banking
Category: Brokerage
Category: Risk Management
Category: Securities Trading
Category: Financial Trading
Category: Equities
Category: Risk Mitigation
Bond and Equity Valuation Strategies

Bond and Equity Valuation Strategies

Course 4, 9 hours

What you'll learn

  • Analyze bond valuation, yield dynamics, and interest rate risk measures.

  • Apply equity valuation models including DCF, FCFE, CAPM, and Gordon Growth.

  • Evaluate debt and equity instruments to support investment decision-making.

Skills you'll gain

Category: Financial Modeling
Category: Investment Management
Category: Capital Markets
Category: Risk Analysis
Category: Equities
Category: Securities (Finance)
Category: Financial Analysis
Category: Cash Flows
Category: Portfolio Risk
Category: Business Valuation
Category: Investments
Category: Risk Management
Category: Portfolio Management
Category: Financial Market
Portfolio Management and Asset Allocation

Portfolio Management and Asset Allocation

Course 5, 10 hours

What you'll learn

  • Analyze portfolio management principles and optimize risk-return trade-offs.

  • Evaluate asset classes, investment vehicles, and portfolio performance metrics.

  • Apply asset allocation and portfolio optimization strategies using financial tools.

Skills you'll gain

Category: Organizational Strategy
Category: Portfolio Management
Category: Project Management
Category: Correlation Analysis
Category: Project Management Office (PMO)
Category: Strategic Planning
Category: Asset Management
Category: Program Management
Category: Governance
Category: Return On Investment
Category: Investment Management
Category: Project Portfolio Management
Category: Portfolio Risk
Category: Statistical Methods
Category: Risk Management
Category: Project Management Institute (PMI) Methodology
Category: Capital Markets
Category: Investments
Portfolio Risk and Return Analysis

Portfolio Risk and Return Analysis

Course 6, 10 hours

What you'll learn

  • Analyze portfolio risk, return, and diversification using Modern Portfolio Theory.

  • Apply CAPM, Sharpe Ratio, and asset pricing models to investment decisions.

  • Evaluate portfolio allocation strategies and risk-return trade-offs effectively.

Skills you'll gain

Category: Return On Investment
Category: Performance Analysis
Category: Portfolio Management
Category: Portfolio Risk
Category: Finance
Category: Financial Modeling
Category: Risk Modeling
Category: Financial Market
Category: Statistical Analysis
Category: Correlation Analysis
Category: Asset Management
Category: Risk Analysis
Category: Performance Metric
Category: Investment Management
Category: Capital Markets
Category: Financial Analysis
Category: Probability & Statistics
Category: Investments
Category: Performance Measurement
Category: Statistical Methods

Earn a career certificate

Add this credential to your LinkedIn profile, resume, or CV. Share it on social media and in your performance review.

Instructor

EDUCBA
EDUCBA
1,379 Courses303,698 learners

Offered by

EDUCBA

Why people choose Coursera for their career

Felipe M.

Learner since 2018
"To be able to take courses at my own pace and rhythm has been an amazing experience. I can learn whenever it fits my schedule and mood."

Jennifer J.

Learner since 2020
"I directly applied the concepts and skills I learned from my courses to an exciting new project at work."

Larry W.

Learner since 2021
"When I need courses on topics that my university doesn't offer, Coursera is one of the best places to go."

Chaitanya A.

"Learning isn't just about being better at your job: it's so much more than that. Coursera allows me to learn without limits."

Frequently asked questions