500
Probability and statistical techniques as applies to financial markets. Topics will replicate those for CFA® Level I program and typically include correlation and regression in the prediction and evaluation of investment performance.
3
Students apply corporate finance theory from a management perspective. Analysis of corporate governance, dividend and stock repurchase policy, capital structure, working capital management, leasing, hybrids and mergers are emphasized
3
Prerequisites
BSAD 52000
An overview of risk and return for various financial instruments is presented, consistent with the learning objectives for Level I of the CFA Exam. Topics also covered include the mechanics of security trading, market efficiency, and fundamental analysis of equities.
3
Prerequisites
FINA 57000 and FINA 57200
The use of futures, options, and swaps in hedging and speculation is covered. Pricing theory, applications, and operational issues will be introduced.
3
Prerequisites
FINA 57000 and FINA 57200
This course investigates many of the issues facing the international business firm. Topics covered include exchange rate determination, risk management and the interaction of foreign exchange and capital markets.
3
Prerequisites
FINA 57000 and FINA 57200