2019-2020 Graduate and Professional Studies Catalog 
    
    Nov 23, 2024  
2019-2020 Graduate and Professional Studies Catalog [ARCHIVED CATALOG]

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FI 6620 - Portfolio Management


Students will explore modern theories behind managing investment portfolios that maximize financial returns against risk tolerance.  Students will learn how to independently analyze the strengths and weaknesses between different asset allocations, including debt and equity, domestic and international markets, conservative and aggressive approaches, and the impact that Macroeconomic effects such as inflation, interest rates, and Federal Reserve policy have on risk profiles.  Prerequisites: FI 6310   (4 Credits)



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