GEN 1301
Portfolio Management
Purdue University Global · UGRD · Fall 2026
1 section
Catalog description
This course blends portfolio theory with practical issues that students will encounter in their careers as financial professionals. Topics include identifying investor objectives and constraints, recognizing risk and return characteristics of investment vehicles, developing strategic asset allocations among equity, fixed-income, and risk-free assets, and utilizing derivative securities to manage portfolio risk and maximize portfolio returns. Also covered is the evaluation of portfolio and manager performance relative to investment objectives and appropriate benchmarks.
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Current meeting, instructor, credit, and enrollment details
001
Availability not recently verifiedClass #purdue_global-1301Fall 2026UGRD4 credits
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