You are now in the main content area
FIN 501
Investment Analysis
This course is designed to give students an overview of both security analysis and portfolio management. The course covers the valuation of common stock, Treasury bills and bonds, the trade-off between risk and return, the efficient market hypothesis, modern portfolio theory, equilibrium pricing relationships, and the evaluation of portfolio performance. Playing an investment challenge game is a requirement of the course.
Weekly Contact: Lecture: 3 hrs.
GPA Weight: 1.00
Course Count: 1.00
Billing Units: 1

Mentioned in the Following Calendar Pages
*List may not include courses that are on a common table shared between programs.
- Addenda and Errata
- Arts and Contemporary Studies Professionally-Related Table II
- Business Management Professionally-Related Table I
- Business Technology Management Professionally-Related Table II
- Computer Science Professionally-Related Table I
- FIN 521 - Advanced Investment Management
- FIN 601 - Derivatives
- FIN 611 - Fixed Income Securities
- FIN 621 - International Finance
- FIN 710 - Advanced Corporate Finance
- FIN 711 - Advanced Portfolio Management
- FIN 731 - Financial Modeling II
- FIN 812 - Advanced Personal Financial Planning
- Finance Minor
- Financial Mathematics
- Graphic Communications Professionally-Related Table I - Former Curriculum
- Hospitality and Tourism Management Professionally-Related Table II
- International Economics and Finance
- Mathematics Professional Table III
- Open Elective Table
- Philosophy Professionally-Related Table IV
- Politics and Governance Professionally-Related Table IV
- Public Administration and Governance Professionally-Related Table I
- Retail Management Professionally-Related Table II