FINC 345
Portfolio Management
Loyola University Chicago · UGRD · Fall 2026
1 section
Catalog description
Topics include a critical appraisal of the efficient market hypothesis, asset allocation using the Markowitz mean-variance framework, fundamental and technical analysis, and mutual fund performance evaluation.
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001
Availability not recently verifiedClass #loyola_chicago-2103Fall 2026UGRD3 credits
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