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10981 (v.4) Finance (Security Analysis) 568



 

Area:School of Economics and Finance
Contact Hours:3.0
Credits:50.0
Lecture:1 x 3 Hours Weekly
A deeper understanding of investment analysis, portfolio theory, and the pricing of risky assets, including share valuation and the pricing of derivative instruments such as options and futures. Builds an awareness of both the strengths and limitations of the models and methods used currently in this branch of financial economics.

 

 

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