Prerequisites: Open to MBA students, others with permission. Prerequisite: FNCE 5101 or FNCE 5182.(RG2091).
Grading Basis: Graded
Examines contemporary portfolio management of fixed income institutional investors, issuers, and broker-dealers. Assesses current practice and presents a theoretical framework for anticipating change. Coverage includes pricing, assessment of return and risk, and the development of overall strategies, for these markets: government, corporate, municipal, and international bonds; mortgage-related and other asset-backed securities; and derivative securities including futures, options, swaps, and other interest rate contracts.
Last Refreshed: 18-SEP-19 05.20.26.980339 AM
|Term||Class Number||Campus||Instruction Mode||Instructor||Section||Session||Schedule||Enrollment||Location||Grading Basis||Notes|
|1203 14354 1 R10||Spring 2020||14354||Hartford||In Person||Tyson, David||R10||Reg||Mo 6:00pm‑9:00pm