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Unit of Study FIN10711 - Portfolio Management (2018)
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Unit Snapshot
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Unit type
UG Coursework Unit
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Credit points
12
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AQF level
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Level of learning
Advanced
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Former School/College
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Pre-requisites
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Co-requisites
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Enrolment information
N/A
Learning outcomes and graduate attributes
Unit Learning Outcomes express learning achievement in terms of what a student should know, understand and be able to do on completion of a unit. These outcomes are aligned with the graduate attributes. The unit learning outcomes and graduate attributes are also the basis of evaluating prior learning.
On completion of this unit, students should be able to:
Learning outcome count | Learning outcome description | GA1 | GA2 | GA3 | GA4 | GA5 | GA6 | GA7 |
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1 | Develop a professional statement of investment advice | |||||||
2 | Explain how investment theory provides a basis for rational portfolio management decisions | |||||||
3 | Analyse mainstream and alternative portfolio management approaches | |||||||
4 | Access, analyse and interpret data on securities markets | |||||||
5 | Construct a security portfolio utilising the theory and professional practice of portfolio construction | |||||||
6 | Evaluate the performance of portfolio managers |
On completion of this unit, students should be able to:
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Develop a professional statement of investment advice
- GA1:
- GA2:
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Explain how investment theory provides a basis for rational portfolio management decisions
- GA4:
-
Analyse mainstream and alternative portfolio management approaches
- GA4:
-
Access, analyse and interpret data on securities markets
- GA1:
- GA2:
-
Construct a security portfolio utilising the theory and professional practice of portfolio construction
- GA1:
- GA2:
-
Evaluate the performance of portfolio managers
- GA1:
- GA4:
Prescribed learning resources
Prescribed Texts
- No prescribed texts.
Prescribed Learning Resources may change in future Teaching Periods.