Search Course Outline
6 course outlines found
1
FINANCE 761
: Portfolio Theory and Investment Analysis2025 Semester One (1253)
Advanced coverage of contemporary issues in investments through readings of classic theoretical articles and recent empirical studies. Topics include: market efficiency and empirical anomalies, risk-return relationships and alternative investment vehicles and strategies. This course builds on material covered in undergraduate courses in investments and financial markets, and it presumes the students have a working knowledge of calculus and linear algebra.
No pre-requisites or restrictions
2
FINANCE 761
: Portfolio Theory and Investment Analysis2024 Semester One (1243)
Advanced coverage of contemporary issues in investments through readings of classic theoretical articles and recent empirical studies. Topics include: market efficiency and empirical anomalies, risk-return relationships and alternative investment vehicles and strategies. This course builds on material covered in FINANCE 261 and 361 and presumes the student has completed MATHS 208 or its equivalent.
No pre-requisites or restrictions
3
FINANCE 761
: Portfolio Theory and Investment Analysis2023 Semester One (1233)
Advanced coverage of contemporary issues in investments through readings of classic theoretical articles and recent empirical studies. Topics include: market efficiency and empirical anomalies, risk-return relationships and alternative investment vehicles and strategies. This course builds on material covered in FINANCE 261 and 361 and presumes the student has completed MATHS 208 or its equivalent.
No pre-requisites or restrictions
4
FINANCE 761
: Portfolio Theory and Investment Analysis2022 Semester One (1223)
Advanced coverage of contemporary issues in investments through readings of classic theoretical articles and recent empirical studies. Topics include: market efficiency and empirical anomalies, risk-return relationships and alternative investment vehicles and strategies. This course builds on material covered in FINANCE 261 and 361 and presumes the student has completed MATHS 208 or its equivalent.
No pre-requisites or restrictions
5
FINANCE 761
: Portfolio Theory and Investment Analysis2021 Semester One (1213)
Advanced coverage of contemporary issues in investments through readings of classic theoretical articles and recent empirical studies. Topics include: market efficiency and empirical anomalies, risk-return relationships and alternative investment vehicles and strategies. This course builds on material covered in FINANCE 261 and 361 and presumes the student has completed MATHS 208 or its equivalent.
No pre-requisites or restrictions
6
FINANCE 761
: Portfolio Theory and Investment Analysis2020 Semester One (1203)
Advanced coverage of contemporary issues in investments through readings of classic theoretical articles and recent empirical studies. Topics include: market efficiency and empirical anomalies, risk-return relationships and alternative investment vehicles and strategies. This course builds on material covered in FINANCE 261 and 361 and presumes the student has completed MATHS 208 or its equivalent.
No pre-requisites or restrictions