2014-2015 Undergraduate & Graduate Catalog
FIN 520 - Statistics and Mathematics of Finance
Examines probability distributions, confidence intervals, hypothesis testing, analysis of variance, and linear regressions, as well as time value of money valuation models, including present and future cash flows, bond valuation, dividend discount models, NPV, IRR, discount rates, WACC, and the Capital Asset Pricing Model. Offered every semester. Prerequisites: Admission to graduate business program or permit.