CORPFIN 3501
Portfolio Theory & Management
CORPFIN 3501 is rated by StudentVIP members:
Textbooks
We don't have any textbooks for this subject yet.
Why don't you be the first?
Sell your textbook for CORPFIN 3501Portfolio Theory & Management Final Exam Notes - 85 HD
Full summarised notes for the complete Portfolio Theory & Management course - covering lectures, tex...
16 pages, 7014 words
Portfolio Theory Note
Topics cover: - The Return Objective and Benchmarks - The Risk Objectives. - Relationship between...
12 pages, 4338 words
Uni lifesaver series: CORPFIN 3501 Portfolio Theory & Management III (77 D)
Your lifesaver for urgent and quick study of the whole course!!! Exhaustive and comprehensive notes...
42 pages, 12068 words
Kevin
$70 per hour
Experienced Uni Lecturer & Financial Professional ( Qualified with Training and Assessment Certifica...
Richard
$25 per hour
Get your study notes at TOVO.EDUCATION * | Premium Service | 1-On-1 Tutoring | Professional Li...
Rosa
$30 per hour
Hi! My name is Rosa, and I am a casual lecturer and PhD candidate. I've been tutoring for over 10 ye...
Bernard
$25 per hour
I am an experienced tutor specialising in exam preparation, online assessments, and I'm also a writi...
Reviews
This is definitely a useful subject if you are thinking about getting into the investment banking industry. This course emphasises on the different strategies of developing a optimal portfolio for investors of various preferences. This course is not too difficult as long as you don't study last minute. In my opinion, this is no doubt one of the most interesting subjects in corporate finance.