This course covers advanced techniques in securities valuation.rnTopic includes discounted cash flow analysis, relative valuationrnapproaches, quantitative analysis, and an introduction to thernvaluation of financial and real options. The class is a blend ofrnnormative theory, empirical evidence, and practical application.
Finance Major
Upon the completion of this course, the student should be able to: • Assess value for a wide range of potential investments. • Understand and interpret major portfolio management and risk concepts. • Construct basic portfolio and risk models. • Apply portfolio management and risk management concepts/techniques to their specific business problems. • Through the study of valuation, portfolio construction, and risk measurement/management techniques, the student should also gain a better understanding of what drives risk and return in the financial system
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