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.
Section | Session | Type | Time | Days | Registered | Instructor | Location | Syllabus | Info |
---|---|---|---|---|---|---|---|---|---|
15418D | 033 | Lecture | 9:30-10:50am | Mon, Wed | 3 of 10 | Mohammad Safarzadeh | ONLINE | ||
15419R | 033 | Lecture | 9:30-10:50am | Mon, Wed | 54 of 54 (1 on waitlist) | Mohammad Safarzadeh | JKP104 |