FINC 732

Portfolio Management

Rochester Institute of Technology · UGRD · Fall 2026

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This course extends the knowledge of risk and return in a portfolio context to portfolio management. Topics include portfolio optimization, diversification strategies, hedging strategies and performance evaluation. A variety of investment tools (e.g., fixed income securities) and investment contexts (e.g., pensions) will be studied.

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Class #rochester_2-FINC732Fall 2026UGRD3 credits
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