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University Bulletin

Graduate Degree Programs

Finance (FIN)

FIN 585 Financial Innovation and Portfolio Risk Management (2) Introduction to fundamental derivatives, standard valuation models, and practical applications to portfolio management; recognition, measurement, and management of portfolio risk.

Financial Innovation and Portfolio Risk Management (2)

General Education: None
Diversity: None
Bachelor of Arts: None
Effective: Spring 2012
Prerequisite: FIN 550, FIN 581, FIN 583, FIN 587

Note : Class size, frequency of offering, and evaluation methods will vary by location and instructor. For these details check the specific course syllabus.