eLearners.com Home Page
Online Degrees Online Programs Online Courses Online Colleges Campus Programs eLearners Advisor Articles & Resources Blogs & Forums
 

Decision Modeling for Asset Allocation: The Markowitz Model course Online Course Information

 

Decision Modeling for Asset Allocation: The Markowitz Model course

   
 
Click here to learn more about this school!
Click here to receive more information!
Course Title:
Decision Modeling for Asset Allocation: The Markowitz Model course
School:
University of California, Irvine
Description:
This course covers the Markowitz Efficient Portfolio, economist Harry Markowitz's asset allocation theory. Students will learn about expected values, measuring risk, correlation of returns, probability distribution, and how a portfolio of securities can have lower risk than that of any of the individual securities.
Learning Format:
Online   (?)
Education Level:
Continuing Education
Language:
English
Cost:
$560 ($460 for NIRI members)
Email A Friend
Click here to receive more information!

 
Facts & Figures
Institutional Accrediting Agency:   (?)
UC Irvine is accredited by the Western Association of Schools and Colleges. All courses & certificated programs offered by UC Irvine Extension are in accordance with Extension policy and regulations of the Academic Senate of the University of California.
Address:
P.O. Box 6050
Irvine, CA 92616-6050
US
Institution Type:   (?)
Public Higher Education
Delivery Format: (?)
Online, on-campus, accelerated (3-day intensive)
Carnegie Classification: (?)
Doctoral/Research University—Extensive
Click here to receive more information!





TRUSTe