![]() International monetary systems, exchange rate determination, use of currency derivative in hedging and risk management, currency swaps, foreign direct investment, international corporate finance, international capital budgeting, international portfolio investment, Third World debt, privatization, joint ventures. (3 s.h.)įundamentals of real estate finance and investments economic base analysis, asset analysis, market analysis, mortgage markets, underwriting, alternative mortgages, mortgage-backed securities, real estate securitization, land development, valuation principles, investment analysis, tax consideration, portfolio management. Theories of fixed income securities, term structure of interest rates asset pricing models, valuation of fixed income securities and contingent claims, fixed income portfolio management, immunization strategies, yield curve analysis. Use of options, futures, and other derivative securities in financial management understanding types of derivative securities, markets, trading technology applications of risk management and speculation pricing relations with underlying securities. Introduction to risk and insurance risk identification and evaluation, demand for insurance, effects of limited liability, theory of moral hazard and adverse selection business and personal risk insurance as a risk management tool. Principles of Risk Management and Insurance (FIN:3400) (3 s.h.)įinancial Accounting and Reporting (ACCT:3020)Įxternal financial reporting practices in context of decisions by management, current and potential stockholders, financial analysts emphasis on interpretation, use of financial statements. (3 s.h.)Īdvanced managerial decision making corporate financial policy, dividend policy, agency theory, corporate restructuring, capital structure strategies, mergers and acquisitions, option pricing fundamentals, convertible debt, callable debt, warrants. Investment in marketable securities in domestic and international markets financial markets, securities trading, evaluation of risk/return trade-off, formulation and implementation of investment strategies, efficient portfolio formation. (1 s.h.)įinancial Information Technology (FIN:3100)Īpplications of commonly used financial software and data systems reviewed by student teams. Seminar topics include finance careers, curriculum, understanding of current events, internships, professional designations, ethics, and general finance acumen. Part-time Business Analytics Master's & Certificate.
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