SYLLABUS
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Preface
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Contents
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1.1 How to study
1 INTRODUCTION
1.1 How to study this course at 3 levels: the meaning of
1.2 Capital and markets
1.3 The risk and return from conventional assets
1.4 Modern portfolio theory and basic risk management strategies
1.5 Historical data and modeling
1.5.1 Drift and volatility of market prices
1.5.2 Moving averages: UWMA, EWMA, GARCH
1.5.3 Maximum likelihood estimate of parameters
1.6 Computer quiz
1.7 Exercises
1.8 Further reading and links
1.9 Quick intermediate evaluation form