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FIN 511 - Investments and Portfolio Analysis
Fall 2017, Section 01

ID #Subj#SecTitleDatesDaysTimeCrdsStatusInstructorDelivery MethodLoc
000063 FIN 511 01 Investments and Portfolio Analysis
08/22 - 11/28
T
6:00pm - 9:20pm
4.0 Open Vo, Minh
Location: Minneapolis Community and Technical Coll
Building/Room: Minneapolis Campus M2300


Meeting Details
DatesDaysTimeBuilding/RoomInstructor
8/22/2017 - 11/28/2017 T 6:00pm - 9:20pm Minneapolis Campus M2300 Vo, Minh

Notes
  • Note: The Prerequisite FIN 392 may be taken at the same time as FIN 511. If you intend to take these courses together, please contact the department, Gateway or your advisor so that they may apply an override for you to register for both in the same semester.

Location Details
Offered through: Metropolitan State University.
Campus: Metropolitan State University. Location: Minneapolis Community and Technical Coll.

Seat Availability
Status: Open Size: 22 Enrolled: 19 Seats Remaining: 3

Prerequisites (Courses and Tests)
This course requires all six of these prerequisite categories
1. One of these two
MATH 115 - College Algebra
MATH 210 - Calculus I (Minimum grade: 1.66 GPA Equivalent)
    And
2. ACCT 210 - Financial Accounting
    And
3. ECON 202 - Microeconomics
    And
4. FIN 390 - Principles of Finance (Minimum grade: 1.66 GPA Equivalent)
    And
5. FIN 392 - Corporate Finance
    And
6. STAT 201 - Statistics I

Restrictions
  • Requires minimum credits: 30

Add/Drop/Withdraw
Full refund is available until August 27, 2017, 11:59PM CST.
Adding course is closed. Dropping course is closed.
The last day to withdraw from this course is November 20, 2017.

Tuition and Fees (Approximate)

Tuition and Fees (approximate):

Tuition -resident: $910.12
Tuition -nonresident: $1,856.92
Approximate Course Fees: $137.88

Course Level
Undergraduate

Description
This course focuses on the risk of, and return on, financial securities and the fundamental concepts of Modern Portfolio Theory (MPT) as they relate to diversification and asset allocation within portfolios of financial and other assets. Topics include security markets, equity and fixed income securities, derivatives, portfolio management, and portfolio management performance evaluation.

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