CampusAnswers

FIN4620 — Portfolio Theory and Analysis

3 credits · 3 hours

Portfolio management in a modern portfolio theory (MPT) framework. Risk measurements, risk-return relationships, and portfolio models are developed. Topics include Markowitz portfolio theory, risk-return models, bond portfolio management, evaluating portfolio performance, and outperforming the market. prereq: Financial Markets major or minor

Source ↗

← back to umnduluth catalog