Nov 30, 2024  
2012-2013 Graduate Studies Bulletin 
    
2012-2013 Graduate Studies Bulletin [ARCHIVED BULLETIN]

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FIN 210 - Portfolio Management


Semester Hours: 3
Once a Year
Exploration of portfolio theory from an individual and institutional viewpoint. Development of appropriate global portfolio strategies for pension and endowment funds, mutual funds, banks, insurance companies and other financial intermediaries. Topics covered include capital market history and asset allocation, Markowitz diversification, styles of equity portfolio management, management of stock and bond portfolios, and performance evaluation. Provides an introduction to both quantitatively and fundamentally based portfolio management techniques and utilizes computer-based information systems and analytical tools.

Prerequisite(s)/Course Notes:
FIN 205 . Open only to matriculated graduate students in the Zarb School of Business and in other Schools at Hofstra where appropriate. See specific program requirements.





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