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Portfolio Analysis and Risk Management

Fakulta: 
Fakulta sociálních věd UK
Semestr: 
letní
Typ kurzu: 
magisterský
Vyučován: 
Ne

The course aims at students interested in investment decisions, portfolio theory and risk management while delving into both theoretical and empirical aspects of the topics. Topics covered include: portfolio and diversification theory, equilibrium capital markets and its implications, portfolio performance measures, fixed income instruments, value-at-risk, and credit risk.

16.12.2021 - 14:26