5263 (v.6) Finance 561
| Area: | School of Economics and Finance |
| Credits: | 25.0 |
| Contact Hours: | 3.0 |
| Lecture: | 1 x 2 Hours Weekly |
| Tutorial: | 1 x 1 Hours Weekly |
| Prerequisite(s): | 5628 (v.8) Financial Management 555 or any previous version
AND
11948 (v.2) Finance (Managerial) 512 or any previous version
|
| Syllabus: | Portfolio management. The investment background, valuation principles and practices, analysis and management of bonds, analysis of selected alternative investments. |
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| Unit Outcomes: | On completion of this unit students will have- Developed technical skills necessary for designing and maintaining an investment portfolio. |
| Text and references listed above are for your information only and current as of September 30, 2003. Please check with the unit coordinator for up-to-date information. |
| Unit References: | No prescribed texts. |
| Unit Texts: | Farrell J.L., Portfolio Management - Theory and Application by 2nd ed, International ed, Singapore, McGraw Hill. |
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| Unit Assessment Breakdown: | Final exam (40%), Group assignment (40%), On-line participation (10%), Oral presentation (10%). This is by grade/mark assessment. |
| Year | Location | Period | Internal | Area External | Central External | | 2004 | Bentley Campus | Semester 1 | Y | | | |
Current as of: February 2, 2004
CRICOS provider code 00301J