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FIN 410
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Learning Outcomes
Equity and Debt Securities
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Measuring Risk and Returns
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Portfolio Creation
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Calculating Expected Returns
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Calculating Value
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Instructor created Learning Outcomes
Course Purpose
Learning Outcomes
Understand fundamental concepts regarding security markets.
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Portfolio Theory
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Analyze Financial Markets
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Investment Vehicles
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Calculate relevant parameters from probability densities.
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Estimate relevant paramters from data samples.
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Understand risk-return tradeoff.
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Understand fundamentals of portfolio theory.
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Understand fundamentals of asset pricing.
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Understand fundamentals of bonds.
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Course Outcome
Program Outcomes
Equity and Debt Securities
Learn about equity and debt securities and the markets in which they trade.
Analyze Financial Data
Calculate/Interpret Metrics
Perform Estimation/Optimization Procedures
Understand and Manage Risk
Measuring Risk and Returns
Be able to use quantitative approaches to measure risk and returns in a portfolio setting.
Analyze Financial Data
Calculate/Interpret Metrics
Perform Estimation/Optimization Procedures
Understand and Manage Risk
Portfolio Creation
Be able to create an “efficient” portfolio with optimal risk-return characteristics.
Analyze Financial Data
Calculate/Interpret Metrics
Perform Estimation/Optimization Procedures
Understand and Manage Risk
Calculating Expected Returns
Be able to calculate the expected returns using the CAPM and to describe other common asset pricing models.
Analyze Financial Data
Calculate/Interpret Metrics
Perform Estimation/Optimization Procedures
Understand and Manage Risk
Calculating Value
Be able to calculate an estimate of firm or share value using both discounted cash flow techniques and relative valuation.
Analyze Financial Data
Calculate/Interpret Metrics
Perform Estimation/Optimization Procedures
Understand and Manage Risk