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Curricular information is subject to change
Learning Objectives
1. A critical understanding of the risk and return trade-off in the different asset classes.
2. Analytical knowledge of the role of diversification in modern portfolio theory.
3. Ability to set up diversified portfolios that minimise risk given a certain return level using spreadsheets
Student Effort Type | Hours |
---|---|
Specified Learning Activities | 80 |
Autonomous Student Learning | 150 |
Lectures | 20 |
Total | 250 |
Not applicable to this module.
Description | Timing | Component Scale | % of Final Grade | ||
---|---|---|---|---|---|
Exam (In-person): Examination | n/a | Standard conversion grade scale 40% | No | 60 |
|
Assignment(Including Essay): Assignment | n/a | Standard conversion grade scale 40% | No | 40 |
Remediation Type | Remediation Timing |
---|---|
Repeat | Within Two Trimesters |
• Group/class feedback, post-assessment
Not yet recorded.
Name | Role |
---|---|
Yusra Anas | Tutor |
Dr Christina Burke | Tutor |
Ms Michele Connolly Doran | Tutor |
June Neo | Tutor |
Rachel Sim | Tutor |
Charlene Tan Puay Koon | Tutor |