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×Cleveland, Ohio
A more detailed consideration of factors studied in FIN 353, with particular emphasis on comprehensive industry analysis and common stocks, bonds, and options; portfolio theory and the portfolio management process. Course focuses upon detailed qualitative and fundamental valuation models for various financial securities; stocks, bonds, options and futures; and risk-return analysis. Emphasis is on institutional investors such as mutual funds and pension funds, and will include coverage of international investing.
Units: 3.0