Portfolio Theory and Investment Analysis (ECON 316.3)

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Description

Concerned with the theory of asset choice under conditions of risk and uncertainty. It considers various models of portfolio analysis, and capital market equilibrium.

Formerly

ECON 216.

Prerequisite(s)

ECON 114; ECON 204 (or equivalent courses in statistics); one of ECON 211 or 213; and one of MATH 104 (formerly 101), 110, 121, 123, or 125.

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