Id: 005914
Credits Min: 3
Credits Max: 3
Description
A study of the principles of portfolio theory and the pricing of financial instruments in capital markets. Use of derivative markets to implement arbitrages, hedging and risk management strategies. Extensive background institutional detail on stock, bond, mortgage-backed, currency, futures and options markets.
Prerequisites
Pre-Req: ECON.2010 Principles of Microeconomics
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