Finance and Business Economics 543:

Forecasting and Risk Analysis (3.0 units)

Application of econometric tools and versions of Capital Asset Pricing Models to estimate financial risk and stock market risk premia for portfolio management.
SectionSessionTypeTimeDaysRegisteredInstructorLocationSyllabusInfo
15420D033Lecture11:00-12:20pmMon, Wed
53 of 53
Mohammad SafarzadehJKP110notesession datesbook list
Information accurate as of 9/23/2014 4:03 PM.