The required courses in the Investment Management concentration are designed to provide an overview of the investment environment for the institutional money manager, including the market mechanism, market equilibrium and the relationship between risk and return and the valuation of various investment instruments.
Students will study contemporary theories and techniques of security selection and management available to the institutional portfolio manager. Students will develop financial analysis skills from the view of an outsider using a corporation’s publicly available financial statements.
Students complete the Investment Management concentration by taking the following three courses:
INVESTMENT ANALYSIS (FIN 523)
FINANCIAL STATEMENT AND SECURITY ANALYSIS (FIN 524)
PORTFOLIO MANAGEMENT (FIN 525)
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