COURSE: 59-600 Portfolio Management (3)
Quantitative and qualitative techniques for evaluating portfolios are presented consistent with the learning objectives for Level I of the CFA Exam. Traditional mean-variance analysis and more recent developments in portfolio theory are introduced.  Measures of portfolio performance are covered.    Prerequisite: 59-512 Financing the Business Enterprise; 59-572 Managerial Finance; 59-579 Investment Analysis and proficiency in Excel.