Global Investment Management

 
Introduces the process of analyzing, valuing, selecting and managing various financial instruments issued by companies, governments and other entities outside the United States, emphasizing issuers from emerging markets. Intended to bridge theory and practice by focusing on the proper integration of qualitative judgments about issuers and their securities based on the broader economic, political, social and cultural environments in which they operate with the quantitative models driving investment selection and portfolio management at the frontiers of finance today. Prerequisite: Corporate Finance.
Categorization: Professor: 
Lingelbach, David C
Course Number: 
SA.380.772
Categorization: Term: 
2012 Fall
Categorization: Campus: 
Washington, D.C.
Categorization: Area of Study: 
International Economics