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
15418D033Lecture12:30-1:50pmTue, Thu4 of 10Mohammad SafarzadehONLINEnotesession dates
15419R033Lecture11:00-12:20pmTue, Thu62 of 77Mohammad SafarzadehJKP110notefeesession dates
15420R033Lecture12:30-1:50pmTue, Thu60 of 77Mohammad SafarzadehJKP210notefeesession dates
Information accurate as of September 13, 2022 5:00 pm.
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