Finance and Business Economics 555:

Investment Analysis and Portfolio Management (3.0 units)

Analysis and management of common stocks and fixed income securities; development of modern portfolio theory and the efficient market hypothesis; organization of securities markets.
  • Prerequisite: 1 from (GSBA 521 or GSBA 521b or GSBA 548)
  • Note: Section 15430D is reserved for Marshall MSF students only. No exceptions.
15429R033Lecture11:00-12:20pmMon, Wed56 of 60Christopher JonesJKP110PDF (417848 KB)notesession dates
15430D033Lecture3:30-4:50pmMon, Wed58 of 62Christopher JonesJKP110PDF (417848 KB)notesession dates
15431R033Lecture6:30-9:30pmMonday27 of 52David LintonOHE132session dates
15432D033Lecture6:30-9:30pmMonday4 of 10David LintonDEN@Viterbisession dates
Information accurate as of March 9, 2020 7:44 am.
All Summer 2020 courses will be taught remotely. Faculty will contact students to provide information to login to classes.