Investments and Portfolios - FINA512 (2017)
This paper provides a more advanced treatment on portfolio analysis, capital market models, efficient market hypothesis, bond portfolios, and evaluation of portfolio performance. Students are required to complete an empirical study on investments of publishable quality using real world data.
|Prerequisite(s):||FINA312 or equivalent|
|Internal assessment / examination:||1:0|
Trimesters and Locations
|Occurrence Code||When taught||Where taught|
|17B (HAM)||B Trimester : 10 Jul 2017 - 29 Oct 2017||Hamilton|
The Timetable for 2017 is not available.
Indicative Fees for Investments and Portfolios (FINA512)
Paper Outlines for Investments and Portfolios (FINA512)
The following paper outlines are available for Investments and Portfolios (FINA512).
If your paper occurrence is not listed contact the Faculty or School office.
Other available years: Investments and Portfolios - FINA512 (2018)
Paper details current as of : 1 July 2020 8:51am
Indicative fees current as of : 4 June 2020 3:25pm