The measurement of risk; portfolio analysis; hedging and speculation; market microstructure; asset pricing and market equilibrium. Prerequisites: ECON 109, ECON 281, STAT 161 or equivalent, and MATH 154 or equivalent. Students may not receive credit for both ECON 442 and FIN 412.
Section | Capacity | Class times | Login to view Instructor(s) and Location |
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20 |
2025-01-06 - 2025-04-09 (MWF)
12:00 - 12:50
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