Academic Term and Year
Area of Study
Goals: To learn and apply basic concepts of investment management using risk/return analysis and empirical evidence to examine the efficient markets hypothesis, portfolio diversification strategies, securities valuation, and investment decision-making in changing global markets. Prerequisite: ECON 1320, FIN 3100 (grade of C- or better for all courses), or consent of the instructor. Credits: 4 credits
Lehmann, Dan, "FIN3720-01.InvestmentManagement.F14.Lehmann,Dan" (2014). Syllabi. 578.