Metropolitan State University


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FIN 511G - Investment and Portfolio Analysis
Summer 2021, Section 50

search actionsID #Subj#SecTitleDatesDaysTimeCrdsStatusInstructorDelivery MethodLoc
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000200 FIN 511G 50 Investment and Portfolio Analysis
05/08 - 08/15
n/a
n/a
4.0 Open Vo, Minh
Completely Online-Asynchronous Location: z MnSCU Metropolitan State University


Meeting Details
DatesDaysTimeBuilding/RoomInstructor
5/8/2021 - 8/15/2021 n/a n/a n/a Vo, Minh

Notes
  • Asynchronous Completely Online; no class meetings.
  • Online Participation Required First Week of Class.
  • Note: This is a completely online course, not an independent study. Course has no required in-person or synchronous meetings. There are required online activities and assignments each week. May require remotely proctored exams that require a webcam and microphone. Intermediate computer/Internet skills required. For online learning and course access information go to www.metrostate.edu/solr.

Location Details
Offered through: Metropolitan State University.
Campus: Metropolitan State University. Location: z MnSCU Metropolitan State University.

Seat Availability
Status: Open Size: 7 Enrolled: 5 Seats Remaining: 2

Prerequisites (Courses and Tests)
[FIN 601 - Financial Management]
Restrictions
  • Requires students to be admitted.

Add/Drop/Withdraw
Full refund is available until May 14, 2021, 11:59PM CST.
Adding course is closed. Dropping course is closed.
The last day to withdraw from this course is July 26, 2021.

Tuition and Fees (Approximate)

Tuition and Fees (approximate):

Tuition -resident: $1,985.80
Tuition -nonresident: $1,985.80
Approximate Course Fees: $148.44

Course Level
Graduate

Description
This course is to equip students with strong knowledge of the modern theory of portfolio management and its applications. The major topics to be covered are: 1. The institutional environment of investment, the financial products available and how they are traded; 2. Models used in pricing these products: fixed income, equity, and derivative securities; 3. How to design an optimal portfolio of many assets and the trade-off between risk and return.

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