FIN 552 Capital Markets and Investing
Investing involves risk—but this course teaches students how to manage that risk and make the right decisions to build and protect individual wealth. What portfolio decisions are safer? How can companies thrive by balancing debt and equity? How can options mitigate risk? By the end, students will have the financial acumen to make informed investment decisions, optimize portfolio performance, and master strategies for risk management, capital allocation, and sustainable financial growth.
Notes
This course is delivered through the RIZE consortium.