Finance
FIN 431 - Investment Management
Description: Measuring portfolio risk and return. Valuation of financial assets, including stocks, bonds, options and futures. Application of investment management theory to model portfolios. Options, futures contracts, and other derivative instruments are examined in the context of hedging and speculation. Letter grade only.
Units:
3
Sections offered:
Fall 2024
Spring 2025
Requirement Designation:
Prerequisite: FIN 331 and Business Professional Program