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Dubai 5 October 2026
Training Programme

Investment Portfolio Management: Strategy, Risk and Performance Training Course (Online / Remote)

1Summary

What separates a portfolio that grows steadily from one that gets wiped out in a downturn usually comes down to a handful of decisions: how assets were selected, how diversified the mix is, and how closely performance and risk are tracked over time. This training program breaks those decisions down, giving participants the practical knowledge to build, evaluate, and manage an investment portfolio in a financial environment that keeps shifting.

The program moves from market analysis and instrument selection into asset allocation, ongoing performance monitoring, and portfolio rebalancing, always with the goal of maximizing return within an acceptable level of risk. It is built to reflect the pace of global markets and to support participants in making investment decisions backed by data rather than guesswork.

2Objectives and target group

Who Should Attend

  • Portfolio and fund managers.
  • Professionals working in banks and financial institutions.
  • Private investors and high-net-worth individuals.
  • Anyone looking to strengthen their financial and investment management skills.

Course Objectives

  • Understand the core principles of investment portfolio management.
  • Analyze markets and select investment instruments that fit stated objectives.
  • Apply asset allocation and diversification techniques effectively.
  • Evaluate portfolio performance and execute rebalancing strategies.
  • Manage investment risk using advanced financial tools and frameworks.

3Course Content

Module 1: Investment and Portfolio Foundations

  • Investment concepts and classifications; the risk-return relationship.
  • Defining an investment portfolio and why it matters.
  • Instrument types: stocks, bonds, sukuk, mutual funds, index investments, derivatives, commodities, and currencies.

Module 2: Building the Portfolio

  • Defining investment goals and objectives.
  • Criteria for selecting portfolio components.
  • Asset diversification and risk mitigation techniques.

Module 3: Modern Portfolio Theory and Risk-Return Analysis

  • Core principles of Modern Portfolio Theory and optimal asset allocation.
  • The Efficient Frontier and the concept of Beta.
  • Calculating historical and expected returns, volatility, and key indicators such as Beta, Alpha, and the Sharpe Ratio.

Module 4: Monitoring, Evaluating and Rebalancing

  • Benchmark comparison and relative performance.
  • Tools for absolute and risk-adjusted performance evaluation.
  • When and how to rebalance: manual versus automated approaches, and the impact on performance.

Module 5: Reading the Market: Fundamental and Technical Analysis

  • Reading and interpreting financial statements.
  • Key macroeconomic indicators.
  • Chart patterns and technical trend analysis.

Module 6: Managing Investment Risk

  • Identifying sources and types of investment risk.
  • Hedging tools and loss-mitigation methods.
  • Risk management policies for investors.

Module 7: Making the Investment Decision

  • Steps in making sound investment decisions.
  • Aligning investment strategy with financial goals.
  • Ethical considerations and evaluating long-term viability.

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Investment Portfolio Management: Strategy, Risk and Performance Training Course (Online / Remote)