Allgemeine Informationen
Veranstaltungsname | Seminar: Seminar Advanced Topics in Investment Funds |
Semester | SS 2020 |
Aktuelle Anzahl der Teilnehmenden | 0 |
Heimat-Einrichtung | Prof. Dr. Marco Wilkens - Finanz- und Bankwirtschaft |
Veranstaltungstyp | Seminar in der Kategorie Lehre |
Voraussetzungen | Investment Funds |
Lernorganisation |
The course "Advanced Topics in Investment Funds" deals with current issues concerning investment funds. The course consists of two parts: The first part requires students to individually solve Excel cases related to quantitative fund analysis. In the second part students will present their work on current topics concerning investment funds. Die Veranstaltung Investment Funds (Master) sowie das dazugehörige Seminar Advanced Topics in Investment Funds (Master) können wir im Sommersemester 2020 nicht anbieten. Diese werden dafür (einmalig) auf das kommende Wintersemester verschoben, so dass sie semesterübergreifend nicht ausfallen. The cases are interconnected to the lecture "Investment Funds" and thus they have to be handed in at specific dates during this class. The presentation topics include work on: - the institutional environment of funds - current topics in performance measurement - peculiarities of different types of funds - etc. Presentations may be done in teams, in German or English. Due to the course's interactive nature, participation is restricted. To apply please send an e-mail including a transcript of record to Stefan Paulus. Extended Deadline for applications is May 2nd. Please consider that succsefull participation in "Empirische Kapitalmarktforschung" and successful/simultaneous participation in "Investment Funds" is required. Kick-off with assignement of papers: tbd.. Finalization: tbd. Further details on cases, the organisation of the seminar and presentation topics will be presented during the lecture "Investment Funds". |
Online/Digitale Veranstaltung | Veranstaltung wird nicht abgehalten. |
Hauptunterrichtssprache | englisch |
Sonstiges |
Topics: - Performance Measurment - Asset Allocation - Management Compensation - Behavioral Biases - Basic Methods in Empirical Finance |