FIN 440
Portfolio Management
Campbell University · UGRD · Fall 2026
1 section
Catalog description
A study of portfolio management with an emphasis on customizing asset allocation strategies and tactics for the individual and institutional investors. Several financial portfolio optimization models will be studied. The trade-off between risk and return on investments will also be emphasized. Finally, the student will learn how asset derivatives and hedges can be applied to either reduce risk, increase profitability, or both. Prerequisite(s): FIN 310 and FIN 430
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Availability not recently verifiedClass #campbell-FIN440Fall 2026UGRD3 credits
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