Use the Tab and Up, Down arrow keys to select menu items.
This course examines theories of investment analysis and portfolio management and their application to practice with particular attention on how local firms manage their investments and risk in both the domestic and international markets. A range of topics are covered including equity and debt investments, derivatives, exchange rates, and alternative investments as well as other contemporary issues in portfolio and wealth management.
MBAZ601 and MBAZ603;
FINC311, FINC312