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Topic 3: Portfolios Returns and their Distributions – Part 3: Matrix Algebra
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Financial Risk Management (2025) - Topic 3: Portfolios Returns and their Distributions – Part 3: Matrix Algebra

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What you'll learn

This course includes

  • 13.5 hours of video
  • Certificate of completion
  • Access on mobile and TV

Summary

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Reviews essential matrix tools for portfolio analysis, including vectors, matrices, transposes, products and how these support multivariate return modelling.

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