Week 1: a) The Fama as well as French model b) Fund as well as functioning evaluation.
Week 2: Econometrics of classic linear models.
Week 3: Time serial predictability, volatilty as well as bubbles.
Week 4: Equity premium, macroeconomics as well as property pricing.
Week 5: Option Pricing.
Week 6: Term construction models as well as facts.
Week 7: Portfolio Theory as well as Final Exam.

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