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International Portfolio Management and Investment Analysis 7,5 Credits

Course Contents

The course has the objective of providing tools and techniques of portfolio management and investment analysis. The course covers (but is not restricted to) the following topics:

  • Asset classes
  • The macroeconomic environment and financial markets
  • Risk, returns and diversification
  • Optimal asset allocation and portfolio choice
  • Asset pricing models
  • Introduction to asset valuation
  • Applied portfolio management
  • Evaluation of portfolio performance using suitable measures


Connection to research and practice

Theories of portfolio management and investment analysis are presented in connection with applied portfolio management and real-world investment problems. The course is also related to research and practice as students write an assignment where questions related to the course content shall be analyzed by identifying relevant theoretical and empirical frameworks of analyses, by applying these frameworks using financial data retrieved from databases, and by identifying avenues for improving the performed analyses.

Prerequisites

Bachelor's degree in Business Administration or Economics (or the equivalent).

Level of Education: Master A1N
Course code/Ladok code: JIPR24
The course is conducted at: Jönköping International Business School

Previous and ongoing course occasions

Type of course
Program
Study type
Campus
Semester
Autumn 2022: Aug 22 - Oct 30
Rate of Study
50%
Language
English
Location
Jönköping
Time
Day
Course coordinator
Rafael Barros De Rezende
Tuition fees do NOT apply for EU/EEA citizens or exchange students
15000kr
Syllabus
HTML  PDF
Application code
HJ-J2110
Last modified 2023-02-22 10:25:01