ECON 132A (4.0
Modern theories of investment and their application to the study of financial markets. The relation between risk and return, diversification, asset pricing, efficient markets hypothesis, and the market valuation of stocks, bonds, options, and futures. Prerequisite or corequisite: (ECON 15A and ECON 15B and ECON 122A and ECON 100A and ECON 100B and ECON 100C) or (ECON 105A and ECON 105B and ECON 105C) or (MATH 130A and STATS 120A and STATS 120B and STATS 120C) or MATH 130B or MATH 133A. Overlaps with MGMT 141.