|
Nov 24, 2024
|
|
|
|
FINC 4520 - Portfolio Management5 credit hours This course focuses on the design of “efficient” portfolios within a risk-return framework. The subjects included are: setting portfolio objectives and constraints, mean-variance analysis, modern portfolio theory, investment styles, asset allocation, portfolio protection, revision, performance and attribution. Use of portfolio analysis software.
Prerequisite Course(s): ECON 3100 and FINC 3440
Add to Portfolio (opens a new window)
|
|