SEFS has the following three main areas of emphasis
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| - | Risk and return |
| - | Performance measurement |
| - | Optimal portfolio choice |
| - | Investment Asset Classes |
| - | Behavioral finance |
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| - | Mergers and acquisitions |
| - | Corporate governance |
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Capital structure |
| - | Taxation and regulation |
| - | Bankruptcy and financial distress |
| - | Venture capital and entrepreneurship |
| - | Real Estate Finance |
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| - | Option valuation theory |
| - | Derivatives markets and applications |
| - | Mortgage and real estate market analysis |
| - | Risk measurement and management |
| - | Fixed income modeling and techniques |
| - | Dynamic portfolio choice modeling |
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