FIN-6126: Investments
Description: Advanced treatment of equity, debt, and speculative markets. Topics include security return distributions, market efficiency, mean-variance portfolio theory, capital asset pricing, arbitrage pricing, option pricing models, and futures markets. Theory and empirical evidence are examined.
Pathways: N/A
Course Hours: 3 credits
Corequisites: N/A
Crosslist: N/A
Repeatability: N/A
Sections Taught: 2
Average GPA: 3.82 (A)
Strict A Rate (No A-) : 40.00%
Average Withdrawal Rate: 0.00%
Gregory B Kadlec | 2018 | 100.0% | 0.0% | 0.0% | 0.0% | 0.0% | 0.0% | 3.82 | 2 |