Mateev Finance
BUS 431: INVESTMENT PORTFOLIO MANAGEMENT

This course is intended to introduce the concepts and tools of security analysis and portfolio management. The course content covers market structure and trade execution, client characteristics and their effect on portfolio construction, the asset allocation decisions, the security allocation decisions, market efficiency and trading strategies, and the use of option and futures contracts to manage the risk. In addition, selected topics related to portfolio risk management, hedge funds and the emerging field of behavioral finance will be discussed throughout the course.








Copyright Miroslav Mateev 2014.