Skip to main content
This module will examine current theories on portfolio management, understanding and evaluating options and derivatives, and developing asset models to protect assurance companies and other investors as interest rates change.Syllabus Topics: Efficien... more. Canterbury, week 13-25

Lists linked to Financial Economics

Title Sort by title Time Period Last updated Sort by last updated
Financial Economics 2011-2012 Ended 31/08/2012 16/09/2011 08:56:38