Security Analysis and Portfolio Management Objectives: This course aims to provide a basic knowledge of the theories and practices of modern portfolio choice and investment decision. Analyze options and futures markets, futures trading and market strategies. Academic input is delivered through two types of courses: core courses and elective courses. - Definition, Types & Examples, Lesson 10 - Bonds: Types, Characteristics and Issuing Procedures, Lesson 11 - Government Securities: Definition, Types & Examples, Lesson 1 - The Great Depression: Timeline, Causes & Impact, Lesson 2 - What was the Great Recession? FIN 397.2 Portfolio Management & Security Analysis. - Definition, Structure & Examples, Lesson 8 - What Are Money Market Funds? Follow the steps below to take the The analysis focuses on studying the real value of each security in the business. Course Description & Learning Objectives This course is designed to provide a sound foundation for the fundamental concepts in invest-ments with a special focus on portfolio management. This Syllabus is your guide to success so please read it carefully and completely. For Course objectives The objective of this course is to develop key concepts in investment theory from the perspective of a portfolio manager, and to apply such concepts using real financial data. All assignment scores will total up to 100 points. (ii) designing and managing the bond as well as equity portfolios in the real word. E-mail : dr. Investment Environment: Features and composition of money market and capital market, money market, capital market instruments and financial derivatives. stream <>/ExtGState<>/Font<>/ProcSet[/PDF/Text/ImageB/ImageC/ImageI] >>/MediaBox[ 0 0 612 792] /Contents 4 0 R/Group<>/Tabs/S/StructParents 0>> The course objective is to focus on the basics of investing, as well as the fundamentals of financial reporting, debt securities, portfolio performance analysis, and the investment process. One portfolio is passively managed after the first week, and the second portfolio is actively managed given weekly requirements. Security Analysis Course Outline and Course Syllabus. This course is designed exclusively for the managers of the MBA Investment Fund, LLC. Two portfolios are tracked for each student. Items Allowed on Study.com Proctored Exam for Finance 304: Items NOT Allowed on Study.com Proctored Exam for : Upon completion of the course, you will be able to: There are no prerequisites for this course. Earn transferable credit by taking this course for credit. This course has been evaluated and recommended by ACE for 3 semester hours in the upper division baccalaureate degree category. a detailed exam report complete with your personal statistics and even specific lessons to focus on! achieved 100% Quiz Progress. To apply for transfer credit, follow these steps: Learn more about the College Accelerator Plan. 2 0 obj The managers of the Fund are responsible for the active management of a growth, value and endowment portfolio within the Fund. Your grade for this course will be calculated out of 300 points. 2. The major topics will include: how markets work the relation between risk and return optimal portfolio selection performance evaluation xed income securities Anyone can earn credit-by-exam regardless of age or education level. Course Description This course is designed to give students an overview of both security analysis and portfolio management. Derivative Markets, Options & Swaps, Practice test: Derivative Markets, Options & Swaps, Practice test: Analyzing Portfolio Performance, Practice test: Investment Portfolio Theory, Ch 10. Unit 3. z5��d�����ν�q�'4c��|S̟�� ��:J��W�4[�l0�6YH�(���xA�D�0g*�����}8ձrx�H�@����X�@�9(,fXG���� Stock-Trak Project Requires weekly trades, explanations, and a final report (22% of total grade). To learn more, visit our Earning Credit Page. Spring 2018 Syllabus. The portfolio has a total return objective. $.' • Traditionally, financial topics can be grouped into four main areas: – Investments – Corporate Finance – Financial Institutions – International Finance Explain and analyze portfolio theory, including measures of risk; understand how to reduce investment risks; assess the implications of efficient market hypotheses. sure you - Definition & Rates, Lesson 11 - What Are Municipal Bonds? <> The table below shows the assignments you must complete and how they'll be incorporated into the overall grade. Discuss the history of investing and explain the safeguards that are set in place by specific laws and agencies. You'll receive an unique access code. Back . ��H It - Definition, Types & Examples, Lesson 12 - Moody's vs. Standard & Poor's Bond Ratings, Lesson 13 - What Are Commodities? <>>> Complete the Did you know… We have over 220 college courses that prepare you to earn Explain equity and debt markets as well as stock and bond market indexes. Please write this down — you'll need it to take the exam. �NҺ@��X�yH��ʴCT�lI΁����%i^VZJ��yYΝ��,w����O? Because the change is - Definition, Types & Examples, Lesson 14 - Required Assignments Reminder, Lesson 1 - Derivative Markets: Types & Characteristics, Lesson 2 - What is a Forward Contract? First, be sure you meet the system requirements. 1 Understanding of terminologies and concepts of Security Analysis and Portfolio Management 2 Apply Fundamental analysis to estimate/calculate the company reports 3 Analyze information using Technical analysis and Fundamental Analysis 4 Make use of models and theories used for the Portfolio construction and selection 5 Evaluate the performance of Portfolios A non-graphing, scientific calculator (We'll provide you access to, Office programs, web browsers, or any programs other than Software Secure (including Study.com lessons), Mobile phones, headphones, speakers, TVs, or radios. Examine investment management practices, emphasizing risk-adjusted rate of return, international investing, and diversification. (So if you earn 90% on the final, that's 90 points toward your final grade.). *F" ��G�� u[��1l��w [�����!�–?�ClI[N3i�іF�U���y��(/ކ�e1��9��Q`�(�8��+��1�YDq����f!�QH�D��360���ה�5 I^L����^&�ؑ�O�B O����W�ۛ�'��FA��EAJ�Q���O^�Z�-v�PcQpCC�D Security Management Principles, Models and Practices. 3���+f��HV6yńr틽f��в')�͛�3"���݉�4B�X�����tA#4�b-C�����~�m1R�jP�N.�Ca�œ�t�Mts�+��I������o&aܗQI�C�I�GC�� $�_���f�ZC���Bkg)�]R穸���S�r�N�K���jI�z�}SE)p>[�#�E�lq������8�n[��@�����m#����{��z�>�k�"l1�z�Q�v� However, it is not necessary to earn 80% within the first three quiz attempts. Services, What is a Financial Investment? Describe the operation of equity and debt markets, as well as stock and bond market indexes. Tentative Course Outline. Request a transcript to be sent to the accredited school of your choice! Analyze portfolio performance, calculate expected rate of return from risky and risk-free investment portfolios; evaluate investments. For instance, if your average quiz score is 85%, you'll receive 85 out of 100 possible points for quizzes. The minimum score required to pass and become eligible for college credit for this course is 210 points, or an overall course grade of 70%. Case Studies. endstream Portfolio Management : 3FB3 Security Analysis – Spring 2020 ... Security Analysis Spring 2020 Course Outline Finance and Business Economics Area DeGroote School of Business McMaster University COURSE OBJECTIVE This course aims to introduce the prominent facts of security markets, the fundamental theories of modern ... active portfolio management. Your assignment(s) will be graded by a Study.com instructor. Each video is approximately 5-10 minutes in length and comes with a quick quiz to help you measure your learning. FINS3641 is an elective finance subject for students interested in pursuing a career in funds management, brokerage and investment banking. PORTFOLIO MANAGEMENT 88-100 5.1 Portfolio Analysis 5.2 Portfolio Selection 5.3 CAPM 5.4 Portfolio Revision 5.5 Portfolio Evaluation 5.6 Mutual Funds Question Bank 101-107 University Question Papers 108-114 BA7021 SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT LT P C 3 0 0 3 OBJECTIVES : Enables student to <> ��?�hq�Me4j�Oo����L2η� �5�:�_��/�Lp �@��%�㧻���� Explain investment basics; recognize the characteristics of bond and securities markets; compare different types of investment instruments. Practice test: Overview of Investment Basics, Practice test: History of Investment Regulation, Ch 3. A College Accelerator Study.com membership. An introduction to financial investments and portfolio management. Banking Schools in Dallas, TX with Course and Degree Program Info, List of Free Online Economics Degrees and Courses. Essay on family health how to cite an essay purdue owl portfolio analysis security Case and on management study, le verbe essayer au prã©sent, metaphor essay questions, conservation of biodiversity essay 500 words good leader essay prompt. The pre-requisite for the course is FINS2624 Portfolio Management. ��W |zl�bN�W�Ń>i�^Qc����xE �D�+>����ې�q�D ��-0��!P&� *��t�)j�6�P�u��$?D÷�z�[1�R'�)�/Ph��A%�{MQ�ihiz~���J�+�[RY�ٺ�����Nr�9Y- Stock Markets, Bonds & Mutual Funds, Practice test: Stock Markets, Bonds & Mutual Funds, Ch 6. Topics to be covered include portfolio optimization and asset pricing theories, as well as their applications to problems in modern financial practice. Explain how to integrate various investors' objectives in the investment process. %PDF-1.5 Get the unbiased info you need to find the right school. The focus of this course is on the financial theory and empirical evidence that are useful for investment decisions. The course will teach the practice of security analysis for those interested in a career in security analysis and/or portfolio management. The student should obtain a broad knowledge of financial markets, portfolio management principles and the risk-returns characteristics of the main investment instruments through this course. Balanced Mutual Funds, Lesson 6 - Understanding Retirement and Pension Plans, Lesson 7 - What Is a Hedge Fund? Explain the mechanics of various securities markets, bonds, mutual funds and money market funds; understand how individual securities differ from collective vehicles. PROJECT ON SECURITY ANALYSIS & PORTFOLIO MANAGEMENT A STUDY ON SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT INTRODUCTION: Traditional security analysis emphasis the projection of prices and dividends accordingly the potential price the firms common stock and the future dividend seem were to be forecast and the discount allowed 10%. The aim of FINS3641 is to equip students with knowledge in security analysis and valuation employed by the financial analysts. You have submitted / required assignments for this course. �_�ܕ[���T��1h'v�!֖��U�n&B�6P�x�0g���ߘ����3��_h��Vpӕ���w��3[m?�m4f����[��E(���ۣ�S���bC��.�Y�(��,� ��v� ` kc�4W�h��l�|H1s��7;#0��� [\��jU (������z��Y>6#�S|@�������: Y�(���:�X'����suL�q� ��#F�tq�侔ن���O%�k��5�)�! SECURITY ANALYSIS & PORTFOLIO MANAGEMENT MBA (IB) 2010-12 Course Credits: 02 Course Coordinator: Dr. Niti Nandini Chatnani Course Overview: This course is built around the theory and empirical evidence relating to investment management, and the l and pricing of securitiesappraisa for portfolio management. Watch lessons on your schedule whenever and wherever you want. ���Bн�Km!�z��� U2 Once you've completed the entire course, take the practice test and use the study tools in the course to prepare for the proctored final exam. Sciences, Culinary Arts and Personal Investment – A Conceptual Framework: Investment process, risks of investment and the common mistakes made in investment management. ^��$-�5M��,W��u&�%�%5 Bw��e��!�:�Ҿ�T� =e2V��)&2�?O.x�Ɵrr���K2Q�[{%��)Q� ���� The second part covers investments in asset classes other than bonds and currencies. Answers and detailed explanations to each question, Video lessons to explain complicated concepts. Finance 304 consists of short video lessons that are organized into topical chapters. Is IT Better to Pursue a Degree in Finance /A/counting Complementing IT with Programming Courses, or to Pursue a Computer Science Degree with Additional Finance Courses, to Start a Career in Corporate Finance? Check your knowledge of this course with a 50-question practice test. d�v0�(�����\��N_}���Ţ��^�z��� ��s^�����4m���G�H K�qy�М�:c��G!O�z;e���2 °t)�)Z&A�H����0f��|]>� �­\-� �vz�u�=��o �B8���pD(��A/��W���U����f568��2�ӕP��`�rL�a`�p%4���=%"���X9T�n Z� �٨j=c�X��-�\�xh��!kE��\K��*r��;n�|C��6��K|������⢲)��޽����u�h62^D\���k�?U[�b��J��)�G� xJ�" The second edition of the book on Security Analysis and Portfolio Management covers all the areas relevant to the theme of investment in securities. Required Assignments for Finance 304, Finance 304: Security Analysis & Portfolio Management, Biological and Biomedical The course covers the valuation of common stock, Treasury bills and bonds, the trade-off between risk and return, the efficient market hypothesis, modern portfolio theory, equilibrium pricing relationships, and the evaluation of portfolio performance. The seminar will be open to approximately fifteen students. Portfolio management is an art as well as a science, and professionals in this field must be skilled at analyzing a basket of different securities as well as working with investors to determine their desired combination of risk and return. We will send you an email with your official exam results within 1 to 2 weeks. - (A Bharti Associate Company) MBA (Finance), Gold Medalist, Ph.D. Mob: 9811828987 E-mail: [email protected], SECURITIES ANALYSIS AND PORTFOLIO MANAGEMENT Course Outline Introduction: The Securities Analysis and Portfolio Management course focuses at introducing the students about the various aspects of securities analysis and portfolio management. - Definition, Types & Examples, Lesson 9 - What are Corporate Bonds? The course is completely self-paced. COURSE OUTLINE This course provides a broad overview of investment management, focusing on the application of finance theory to the issue faced by portfolio managers and investors in general. Learners will: • Develop risk and return measures for portfolio of assets • Understand the main insights from modern portfolio theory based on diversification • Describe and identify efficient portfolios that manage risk effectively • Solve for portfolio with the best risk-return trade-offs • Understand how risk preference drive optimal asset allocation decisions • Describe and use equilibrium asset pricing models. %���� If you're unsatisfied with your score on the exam, you'll be eligible to retake the exam after a 3-day waiting period. Registering for the exam is simple. Have not taken this exam three times. - Definition & Types, Lesson 9 - 130/30 Ratio in Investing: Definition & Examples, Lesson 10 - Capital Asset Pricing Model (CAPM): Definition, Formula, Advantages & Example, Lesson 12 - Discounted Cash Flow Analysis, Lesson 13 - How to Calculate Payoffs to Option Positions, Lesson 14 - Models for Analyzing Security Returns, Lesson 1 - Investment Vehicles: Definition, Examples & Characteristics, Lesson 2 - Stock Market: Definition & Indices, Lesson 3 - What is a Mutual Fund? The course will deal with the following topics: definition of securities; securities regulation in the Philippines; the investment environment; … Here's a breakdown of how you will be graded on quizzes and how they'll factor into your final score: Assignments are intended to assess your application, analysis, and critical thinking skills in relation to the concepts you learn in the course. endobj Once You will have 3 attempts to take each quiz for a score. You will need to pass each quiz with a score of at least 80% to earn course progress for the lesson. Describe the mechanics of derivative markets and compare options and swaps to other investment instruments. Not attempted to take this exam within the last three days. Security Planning and Asset Protection. can complete the entire thing. You can test out of the first two years of college and save If you would like to raise your grade after receiving your exam results, you can retake quizzes with fewer than 3 attempts. Course Contents . It begins with an introduction to the investment process and the risk involved in it and then explains the different methods of security analysis such as Fundamental Analysis (including economy, industry and company analysis), Technical Analysis … Explain and analyze portfolio theory, including measures of risk. �?V�M�Lt� ��� ��l�.&�s8E���[����&&]Uj�v�-�E��? The course begins with an overview of the investment environment, financial markets and trading of securi-ties, followed by a more in-depth analysis of key investment topics. These so-called alternative assets have acquired increasing relevance for institutional investors such as endowments, pension and sovereign wealth funds. If you already have a school in mind, check with the registrar to see if the school will grant credit for courses recommended by either ACE or NCCRS. Summarize the investment process, including investment types and earnings-per-share calculations; discuss tax structures and tax rates on investments. Core courses are compulsory for all participants and contain more than 50 percent of the total curriculum. Course Description. The topics covered in this course can be broadly categorized into five groups: 1. 4 0 obj The highest score of your first 3 attempts will be recorded as your score for each quiz. Finance Schools in New York with Course and Degree Overviews, Online Financial Analyst Education Overview with Certification Info, Learn Personal Financial Management with a Scholarship to Study.com for Guardian Employees, Tennessee Finance Universities with Degree Program Overviews, Become a Virologist: Education and Career Roadmap, Bachelor of Business Administration (BBA): Degree Overview, CPR Certification Online for Child Care Providers, Outsourcing Manager Job Description Salary, Working Scholars® Bringing Tuition-Free College to the Community. endobj thousands off your degree. Then just confirm your name and the exam name, and you're ready to go! The securities are normally debts, equities, tradable credit derivations or some hybrid securities. One assignment is required for this course. Security Analysis & Portfolio Management Course Outline and General Information : Office ... (View syllabus for current office hours) 278-6374 ahmadih@csus.edu : Throughout this course we present and discuss several theories. © copyright 2003-2020 Study.com. pS��G�M�i=��YG�����A�elC(�O�2kkN�2���C����m�L?� ,��%[���.a�@6��)�g��C���VQx�q͎�= Unit 2. exam. Introduction to Security Management (3 Weeks) Overview of security policies, models and mechanisms. endobj the course are expected to be able to work in the field or to continue specializations in Security Analysis, Credit Analysis or Portfolio Management. <> COURSE IDENTIFICATION. follow The instructor will provide a graded rubric for you along with feedback on what you did well and what could be improved. @�Ee�j�9�k��q�X�oNZ�M�UX�ֶ}�yM+�JE�� ��P��\I�r�$,Bܒ��bq=4�ы?�X-n���%g(�I�����d��ٲ�h>�w��5pv������-����- ���V* ��ޞ��j1,�C��Z�����A����ػ=yZ��i+��ԞQ��Gu��B��b�p���o3eM:T*��h#ķ��&Mc5�$�����sܮLB|�+2a�NIB�*�>��@$dϞA"�ȍ���}�##�[I���G�5ăd�2�^�B�2��z�f�̞6$�t�NtO+��r'��6�N: Before taking the exam, all of the following requirements must be met: Please meet all of the pre-requirements in the Pre-Exam Checklist in order to take the exam. Empirical Evidence in the Equity and Equit… Debt Securities & Security Analysis, Practice test: Debt Securities & Security Analysis, Ch 5. II.24 Risk Management and Insurance II.25 Security Analysis and Portfolio Management II.26 Social Finance, Impact Investing & Insurance II.27 Structured Finance III. Next, you'll need to agree to the 1. Course Code : SECURAN (FM31) Course Title : Security Analysis. ",#(7),01444'9=82. Complete Finance 304: Security Analysis & Portfolio Management by watching video lessons and taking short quizzes. �c�� Course Outline Introduction: The Securities Analysis and Portfolio Management course focuses at introducing the students about the various aspects of securities analysis and portfolio management. x��[[o��~7���G��i�}�) Completed all lessons in Finance 304: Security Analysis & Portfolio Management course and Not sure what college you want to attend yet? 2. equipped with the knowledge of security analysis. You will then need to retake the final exam. Security Analysis and Portfolio Management Course Overview Course Overview • Let me first talk about the structure of the courses offered by our department. The proctored final exam is a cumulative test designed to ensure that you've mastered the material in the course. endobj Quizzes are meant to test your comprehension of each lesson as you progress through the course. study and career path that can help you find the school that's right for you. The equity valuation part covers security analysis based on discounted cash flow analysis. The exam contains 50 - 100 multiple choice questions. In this context the main objectives of this course are: (i) to provide a theoretical and practical background in the field of investments. academic Examine the mechanics of various securities markets, mutual funds and investment companies. This Study.com course has been evaluated and recommended for college credit. Please note: Assignments are required to complete this course for credit. the installation instructions. The course will acquaint students with some fundamental concepts such as risk diversification, portfolio selection, capital asset pricing model etc. IN Order to Start a Career in the Field of Corporate Finance, Is IT Better to Pursue a Degree in Finance/accounting Complementing IT with Programming Courses, or to Pursue a Computer Science Degree with Additional Finance Courses? By upgrading now, you will immediately have access to all features associated with your new plan. Take the Finance 304: Security Analysis & Portfolio Management final exam directly on the Study.com site. Topics include types of securities and securities markets; investment risks, returns, and constraints; portfolio policies and management; and institutional investment policies. The course objective is to acquaint students with the theoretical foundation of modern portfolio theory, the major groups of investors and their investment objectives and Risk Management (2 Weeks) exam readiness quiz. Union organizing case study mgt/434 text in context essay. - Definition, Types & Examples, Lesson 1 - What is a Financial Investment? ]~��~��?�����*���F&����3IHfT��e�P�a����[%�9?K���߮���l�E�o����[q�|���������g��r�-W�˛��x�bv[�+ ~��$!4�ޝ�˟$8S�(�3�L�y���ϯ�g_�d�w2������ Course Learning Outcomes be familiar with many areas of investment analysis both from a theoretical and practical side Describe the general structure of various financial markets. Course Description : This course focuses on the fundamental principles and techniques of security analysis. Software Secure and COURSE OUTCOMES After completion of this course, the student will be able to 1. explored to different avenues of investment. This analysis uses fundamental, technical or quantitative techniques on the securities to identify their fair value that eventually helps the investors to make a wise decision in while investing. I. - Definition & Examples, Lesson 8 - Uses of Derivatives in Portfolio Management, Lesson 1 - Investment Portfolios: Development & Analysis, Lesson 2 - Investment Portfolios: Asset Allocation & Diversification, Lesson 4 - Passive vs. And fixed income investment portfolios ; evaluate investments Corporate Bonds as risk diversification, portfolio selection, capital asset theories! And risk-free investment portfolios video lessons that are organized into topical chapters FM31 ) course Title: Security Analysis portfolio! To different avenues of investment to estimate value grade ) securities markets compare. Overview of investment instruments name, and how do I apply for Admission the MBA investment Fund, LLC investment... And applications to the academic integrity policy aim of FINS3641 security analysis and portfolio management course outline an elective subject! Explain the safeguards that are useful for investment decisions to Security Management ( 3 Weeks ) Overview of policies. Along with feedback on What you did well and What could be improved to each question, lessons... Online Economics Degrees and courses is approximately 5-10 minutes in length and comes with a score your... Risk diversification, portfolio selection, capital asset pricing security analysis and portfolio management course outline, as well as equity portfolios in the course acquaint... 5-10 minutes in length and comes with a quick quiz to help you measure your learning earn 90 % the... & Rates, Lesson 9 - What are Corporate Bonds Funds Management, brokerage and investment.. Down — you 'll receive 85 out of 100 possible points for.... 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