FINA 7395 Portfolio Management

The objective of the course is to apply the knowledge and skills of advanced financial topics in a real-world stock investment fund. By studying the empirical evidence relevant for portfolio  management, we will cover investment strategies and risk management of equity portfolios, such as estimation of capital market parameters, trade-off between risk and return, equilibrium asset pricing models, portfolio construction, optimal portfolio selection and random walk as applied to portfolio management, etc.

Credits

3

Prerequisite

BANA 6360, FINA 7310, FINA 7322