Course ID
015019
Course Description
Portfolio theory with applications to the markets for equities, fixed income securities, and options. Risk analysis and investment strategies.
Min Units
3
Max Units
3
Repeatable for Credit
No
Grading Basis
GRD - Regular Grades A, B, C, D, E
Career
Graduate
Course Requisites
FIN 510A and FIN 510B or FIN 511.
May be convened with
Component
Lecture
Optional Component
No