FINC455 Portfolio Analysis

In this course, students will learn the management process for individual and institutional investment portfolios in domestic and international markets. Capital market expectations and asset allocation will be examined. Fixed income, equity and alternative investment portfolio management techniques will be reviewed. Portfolio risk management, performance measurements and decision making will also be studied.

Prerequisite

FIN310 or FINC390 or FINC400; MAT306 or MATH306 or MATH305 or MGM330 or MATH301

Corequisite

None

Credits

4

Distribution

Business

Notes

This course is no longer offered.