Module: Key Active Management Techniques
Master the levers of performance using an active management approach
Do you want to move from theory to practice in portfolio management? This module gives you the keys to mastering the key techniques of active management, whether you are a finance student, a young asset management professional, or a high-potential finance professional.
Thanks to an immersive teaching approach, you will learn how to build, adjust, and actively manage a fictitious portfolio, while integrating diversification, risk management, and performance optimization rules.
This module can be taken independently or as part of the complete course dedicated to the theme of Finance, Management Control & Procurement.
What you will experience in this module:
- Interactive scenarios confront you with the operational choices of an active manager
- Expert advice on where to look, how to analyze, and what to decide
- A targeted quiz to immediately validate the key skills acquired
- Common errors highlighted to accelerate your skill development
- A compact, actionable format that is immediately transferable to a professional environment
Why take this module?
- You are looking for a concrete and operational approach to active management
- You want to practice without risk via a simulated portfolio
- You want to identify the winning practices of the best professionals in the sector
- You need benchmarks to make good decisions quickly in volatile environments
Build a portfolio, adjust it according to market signals, arbitrage between workers: so many professional gestures that you will learn here.