Portfolio Management and Theory

Course Code
FIN 420
Course Title
Portfolio Management and Theory
Course Description

This course is designed to introduce an overview of portfolio management, more specifically securities and security analyses, risk and return, environment analyses, company analyses, bond analyses, options, rights, warrants and convertibles, futures, efficient-market theory, portfolio analyses and selection, capital market theory, managed portfolios and performance measurements.

Prerequisites
FIN 411
Credits
3
Course Type
Theory
Offered
Spring