FNCE 5322
Risk Management in Equity Markets
University of Connecticut-Avery Point · UGRD · Fall 2026
1 section
Catalog description
Strategies for security selection and asset allocation and evidence on returns and volatility, equity price behavior and asset pricing models, portfolio performance evaluation methods, valuation models, equity risk measurement and optimal allocation of funds. Students will learn pricing of equity derivatives and their applications in risk management of equity-linked products and strategies.
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Current meeting, instructor, credit, and enrollment details
001
Availability not recently verifiedClass #connecticut_avery_point-5604Fall 2026UGRD3 credits
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