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Showing 25 course outlines from 9861 matches

3326

FINANCE 361

: Modern Investment Theory and Management
2023 Semester One (1233)
Portfolio theory and equilibrium asset pricing models and empirical tests. Portfolio management (forecasting, construction, administration and evaluation) including issues relating to fixed interest and international equity investment. A continuation of the material introduced in FINANCE 261.
Subject: Finance
Prerequisite: FINANCE 261 and 15 points from ENGSCI 211, MATHS 208, 250
3327

FINANCE 361

: Modern Investment Theory and Management
2022 Semester One (1223)
Portfolio theory and equilibrium asset pricing models and empirical tests. Portfolio management (forecasting, construction, administration and evaluation) including issues relating to fixed interest and international equity investment. A continuation of the material introduced in FINANCE 261.
Subject: Finance
Prerequisite: FINANCE 261 and MATHS 208 or 250
3328

FINANCE 361

: Modern Investment Theory and Management
2021 Semester One (1213)
Portfolio theory and equilibrium asset pricing models and empirical tests. Portfolio management (forecasting, construction, administration and evaluation) including issues relating to fixed interest and international equity investment. A continuation of the material introduced in FINANCE 261.
Subject: Finance
Prerequisite: FINANCE 261 and MATHS 208 or 250
3329

FINANCE 361

: Modern Investment Theory and Management
2020 Semester One (1203)
Portfolio theory and equilibrium asset pricing models and empirical tests. Portfolio management (forecasting, construction, administration and evaluation) including issues relating to fixed interest and international equity investment. A continuation of the material introduced in FINANCE 261.
Subject: Finance
Prerequisite: FINANCE 261 and MATHS 208 or 250
3330

FINANCE 362

: Risk Management
2023 Semester One (1233)
Examines theoretical and practical aspects of risk management with an emphasis on the effective use of futures, options and other financial derivatives to control market risk exposure. Reviews no-arbitrage methods used to value financial futures and options, including the Black-Scholes model and binomial tree numerical methods.
Subject: Finance
Prerequisite: FINANCE 261 and 15 points from ENGSCI 211, MATHS 208, 250
3331

FINANCE 362

: Risk Management
2022 Semester One (1223)
Examines theoretical and practical aspects of risk management with an emphasis on the effective use of futures, options and other financial derivatives to control market risk exposure. Reviews no-arbitrage methods used to value financial futures and options, including the Black-Scholes model and binomial tree numerical methods.
Subject: Finance
Prerequisite: FINANCE 261 and MATHS 208 or 250
3332

FINANCE 362

: Risk Management
2021 Semester One (1213)
Examines theoretical and practical aspects of risk management with an emphasis on the effective use of futures, options and other financial derivatives to control market risk exposure. Reviews no-arbitrage methods used to value financial futures and options, including the Black-Scholes model and binomial tree numerical methods.
Subject: Finance
Prerequisite: FINANCE 261 and MATHS 208 or 250
3333

FINANCE 362

: Risk Management
2020 Semester One (1203)
Examines theoretical and practical aspects of risk management with an emphasis on the effective use of futures, options and other financial derivatives to control market risk exposure. Reviews no-arbitrage methods used to value financial futures and options, including the Black-Scholes model and binomial tree numerical methods.
Subject: Finance
Prerequisite: FINANCE 261 and MATHS 208 or 250
3334

FINANCE 383

: Banking and Financial Institutions
2025 Semester One (1253)
Provides a thorough understanding of the role of banks and other financial institutions in the economy. It focuses on the problems of risk management and regulation with a particular emphasis on problems, crises and most importantly the Global Financial Crisis.
Subject: Finance
Prerequisite: FINANCE 251 or ECON 201 and 211
3335

FINANCE 383

: Banking and Financial Institutions
2024 Semester One (1243)
Provides a thorough understanding of the role of banks and other financial institutions in the economy. It focuses on the problems of risk management and regulation with a particular emphasis on problems, crises and most importantly the Global Financial Crisis.
Subject: Finance
Prerequisite: FINANCE 251 or ECON 201 and 211
3336

FINANCE 383

: Banking and Financial Institutions
2023 Semester One (1233)
Provides a thorough understanding of the role of banks and other financial institutions in the economy. It focuses on the problems of risk management and regulation with a particular emphasis on problems, crises and most importantly the Global Financial Crisis.
Subject: Finance
Prerequisite: FINANCE 251 or ECON 201 and 211
3337

FINANCE 383

: Banking and Financial Institutions
2022 Semester One (1223)
Provides a thorough understanding of the role of banks and other financial institutions in the economy. It focuses on the problems of risk management and regulation with a particular emphasis on problems, crises and most importantly the Global Financial Crisis.
Subject: Finance
Prerequisite: FINANCE 251 or ECON 201 and 211
3338

FINANCE 383

: Banking and Financial Institutions
2021 Semester One (1213)
Provides a thorough understanding of the role of banks and other financial institutions in the economy. It focuses on the problems of risk management and regulation with a particular emphasis on problems, crises and most importantly the Global Financial Crisis.
Subject: Finance
Prerequisite: FINANCE 251 or ECON 201 and 211
3339

FINANCE 383

: Banking and Financial Institutions
2020 Semester One (1203)
Provides a thorough understanding of the role of banks and other financial institutions in the economy. It focuses on the problems of risk management and regulation with a particular emphasis on problems, crises and most importantly the Global Financial Crisis.
Subject: Finance
Prerequisite: FINANCE 251 or ECON 201 and 211
3340

FINANCE 701

: Research Methods in Finance
2025 Semester One (1253)
The theory and application of modern research methods in finance. The content will include the philosophy, process and design of scientific research. Prior knowledge of basic statistical techniques is assumed.
Subject: Finance
Restriction: ACCTG 701
3341

FINANCE 701

: Research Methods in Finance
2024 Semester One (1243)
The theory and application of modern research methods in finance. The content will include the philosophy, process and design of scientific research. Prior knowledge of basic statistical techniques is assumed.
Subject: Finance
Restriction: ACCTG 701
3342

FINANCE 701

: Research Methods in Finance
2023 Semester One (1233)
The theory and application of modern research methods in finance. The content will include the philosophy, process and design of scientific research. Prior knowledge of basic statistical techniques is assumed.
Subject: Finance
Restriction: ACCTG 701
3343

FINANCE 701

: Research Methods in Finance
2022 Semester One (1223)
The theory and application of modern research methods in finance. The content will include the philosophy, process and design of scientific research. Prior knowledge of basic statistical techniques is assumed.
Subject: Finance
Restriction: ACCTG 701
3344

FINANCE 701

: Research Methods in Finance
2021 Semester One (1213)
The theory and application of modern research methods in finance. The content will include the philosophy, process and design of scientific research. Prior knowledge of basic statistical techniques is assumed.
Subject: Finance
Restriction: ACCTG 701
3345

FINANCE 701

: Research Methods in Finance
2020 Semester One (1203)
The theory and application of modern research methods in finance. The content will include the philosophy, process and design of scientific research. Prior knowledge of basic statistical techniques is assumed.
Subject: Finance
Restriction: ACCTG 701
3346

FINANCE 702

: Governance Issues in Finance
2021 Semester One (1213)
An introduction to the economic literatures relating to property rights, transaction cost economics, and agency theory. Application of these notions to the way in which organisations are structured. Identification of why some transactions are internalised and some are undertaken through markets. The application of these ideas to finance.
Subject: Finance
Restriction: ACCTG 702
3347

FINANCE 702

: Governance Issues in Finance
2020 Semester One (1203)
An introduction to the economic literatures relating to property rights, transaction cost economics, and agency theory. Application of these notions to the way in which organisations are structured. Identification of why some transactions are internalised and some are undertaken through markets. The application of these ideas to finance.
Subject: Finance
Restriction: ACCTG 702
3348

FINANCE 705

: Empirical Finance
2025 Semester One (1253)
Examines the theory and application of modern research methods in finance. Through exposure to a range of contemporary research issues students will develop a basic framework of how to conduct research, and an overview of some of the pitfalls.
Subject: Finance
No pre-requisites or restrictions
3349

FINANCE 705

: Empirical Finance
2024 Semester One (1243)
Examines the theory and application of modern research methods in finance. Through exposure to a range of contemporary research issues students will develop a basic framework of how to conduct research, and an overview of some of the pitfalls.
Subject: Finance
No pre-requisites or restrictions
3350

FINANCE 705

: Empirical Finance
2023 Semester One (1233)
Examines the theory and application of modern research methods in finance. Through exposure to a range of contemporary research issues students will develop a basic framework of how to conduct research, and an overview of some of the pitfalls.
Subject: Finance
No pre-requisites or restrictions