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    Investment Strategies (Online)
    Columbia Business School

    Investment Strategies (Online)

    Columbia Business School, New York
    HomeFinanceColumbia Business SchoolInvestment Strategies (Online)
    11 weeksDuration
    onlineFormat
    EnglishLanguage
    FinanceTopic

    Next Available Cohort

    Choose your preferred start date

    Jun 11 - Aug 27, 2026
    11 weeks · online · Instructor-Led
    Open
    $2,800

    All-inclusive program fee

    About This Program

    Having the tools and knowledge to develop smart investment strategies has perhaps never been the current global climate. You need a solid understanding of how markets work combined with cutting-edge analytical skills and advanced quantitative tools that can guide management through uncertainty and into the future. As a participant in the Investment Strategies (Online) program, you get an introduction to the investing as well as an incisive overview of capital markets and modern risk management. And you can put your knowledge into practice immediately. Succeeding in active investing requires knowledge of the markets, confidence in crunching the numbers, and skill in analyzing and managing your investment instruments and risks. In this program, you will: “Blending financial history, theory, and data, this program emphasizes prudent risk management and data-driven decision making to help you make sound financial choices, avoid common investing pitfalls, and set you on a path of lifelong learning about markets and investing.”

    Why Columbia Business School?

    Few business schools can claim a campus embedded in one of the world's most consequential cities — and actually mean it. Columbia Business School has built its entire executive education philosophy around New York as a living laboratory: finance, media, technology, healthcare, and policy all intersect within walking distance of campus, and the faculty who teach executives are the same people advising the institutions that drive those industries.

    Your Profile

    • Investment Strategies (Online) is ideal for financial professionals seeking to advance their competencies, entrepreneurs looking for a deeper understanding of investment management, and individual investors pursuing advanced skills.

    Benefits

    • This program is designed around four value-driving methods:
    • Foundational Knowledge Deepen your understanding of capital markets, liabilities, major asset classes, leverage, and databases.
    • Empirical Skills Measure risk, analyze volatility, identify correlation, run regression analyses, define the yield curve, and evaluate drawdown.
    • Forecasting Regression Explore bond markets along with expected return from the bond market as a function of the yield of the bond and the slope of the yield structure.
    • Active Management Analyze the performance of investment products over time, understand the bond market and yield, define passive vs. active investing, learn the tools and limits of forecasting.
    • Upon completion of this program, you will earn two credits towards a Certificate in Business Excellence with select alumni and tuition benefits.

    What You'll Learn

    • Week 2 - Introduction to Capital Markets
    • Week 6 - Market Risk Premium, Part I
    • Week 7 - Market Risk Premium, Part II
    • Week 8 - Patterns in Stock Returns, Part I
    • Week 9 - Patterns in Stock Returns, Part II
    • Week 10 - Portfolio Considerations
    • Real-World Tools and Examples - During the program, you’ll be introduced to and will interact with real-world tools and examples that reinforce the lessons presented in powerful and concrete ways. Some examples include:
    • FRED & Yahoo Finance - Use FRED, the online Federal Reserve Economic Database, Jordà-Schularick-Taylor Macrohistory Database website, and the Yahoo Finance database to collect data needed to complete financial calculations that will help you make informed financial decisions in various activities.
    • Financial Times or the Wall Street Journal - Use these periodicals as a general resource to help expand your knowledge in investing and finance.
    • LTCM Hedge Fund - Explore this real-world example of a hedge fund that was publicly affected by leverage and learn what went wrong. For full details of the curriculum, please download the brochure.

    Frequently Asked Questions

    How to Apply

    1. 1

      Check your eligibility

      Review the entry requirements listed on this page. Most executive programs require 8–15 years of professional experience.

    2. 2

      Compare programs

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    3. 3

      Contact the school

      Send a message directly to Columbia Business School via Gradia to request a brochure or speak with an admissions advisor.

    4. 4

      Prepare your application

      Gather your CV, reference letters, and any required test scores. Many EMBA programs waive standardised tests for senior candidates.

    5. 5

      Submit your application

      Apply directly through Columbia Business School's official application portal.

      Apply now →

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