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MSc in Economics and Finance - Applied Economics and Finance

Cap­it­al Mar­ket The­ory

About the course

What you will learn

  • Explain the concepts, theories, models, and methods for portfolio selection, risk measurement and management, the risk-return tradeoff, and the pricing of stocks, bonds, and derivative securities as discussed during the course.
  • Discuss the theoretical and empirical validity of the central theories and models developed in the course.
  • Apply the theories and models to realistic problems.
  • Implement relevant models using Excel or similar computational tools
  • Discuss the role of capital markets, the efficiency of capital markets, and theories about investor behavior