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The Chinese University of Hong Kong
This course discusses basic security valuation theories and portfolio management. Emphasis is placed on fundamental common stock analysis, capital market theory, analysis of portfolio performance, market efficiency, and behaviour of stock prices.
first test 35%
second test 25%
last test 40%
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Investment and portfolio introductory course. Basic knowledge and simple calculation.
Mainly tests(30% *2），plus group based project (30%) without presentation.
SIM CAPM Bond valuation ...
25% min.(T1,T2), 30% max. (T1,T2), 25% group project, 10% 2 assignments, 10% class participation and newspaper commentary
Introduction about basic investment knowledge
Assignment, and tests
Basic investment skills, with introduction to different type of investment (Bond, equity, derivatives). Utility function and portfolio management
3 Tests, 3 Assignments
fina, elena is fuk
Risk and Return
~45% Portfolio Project
Asset pricing theories and application
Midterm 1: 20%
Midterm 2: 25%
One of the most useful finance course if you take this instructor. you will learn core concepts about investments, portfolios, and risk management. This course is taken by students across the BA faculty and other such as medic and law. have quite a bit of maths.
two midterms and a final, a few assignments
25% test 2
assignments, 3 exams
This course is about equity valuation, bond analysis, portfolio theory, and some introductory options pricing. This is course is very helpful if you wanna find an internship or graduate job in financial industry and it definitely teaches you the basic knowledge you need to know to pass the job interview.
First test: 20%
Second test: 25%
Final test: 40%
Problems sets: 10%
Class participation: 5%
very nice teacher
3exams and 3 assignments
三個test 幾份homework no midterm & final
Finance 3080 is a course in investment analysis. It is intended for students who want to
become investment professionals, knowledgeable individual investors, or both. The course
covers the primary financial securities: bonds, stocks, and derivatives, and methods for
combining these underlying assets into a portfolio.
First Test The week of Feb 20 20%
Second Test The week of March 26 25%
Final Exam To Be Announced 40%
Three Problem sets Due Dates To Be Announced 10%
Class participation 5%
Talking about CAPM, efficient front line, etc. financial out-of-date models
Mid term, final project
Mid term 35%
CAPM, Portfolios, Bonds
Midterm, Final, Two Assignments
Bond, Equity, CAPM, APT, etc
2 assignments, midterm, final
CAMP; APT; Bond duration and convexity; a few words on option pricing
Three exams+three homework+participation
The 3080 course is quite challeging
20% Mid Term 1
25% Mid Term 2
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