The Funds Management strand provides participants with the opportunity to acquire knowledge of the application of finance theory and techniques to all major asset classes and also how these asset classes might be best combined within an overall portfolio to best meet the needs of single or multiple investors. Learning strategies that cover both contemporary financial theory and leading edge techniques in the practice of investment decision making are used in the presentation of the strand.
25728 Bond Portfolio Management | 6cp | |
25729 Applied Portfolio Management | 6cp | |
25743 Corporate Financial Analysis | 6cp | |
25809 Technical Analysis | 3cp | |
25818 Real Estate Finance and Investment | 3cp | |
Total | 24cp |