Week 2 readings, quiz, and problem set

Here’s a friendly reminder that the following readings are due tomorrow:

1. The New Religion of Risk Management, by Peter Bernstein
2. Normal and standard normal distribution, by James R. Garven
3. Mean and Variance of a Two-Asset Portfolio, by James R. Garven

Keep in mind that Quiz 2, which is based on these readings, must be completed prior to the start of class tomorrow. I have also changed the due date for Problem Set 1 from tomorrow (Tuesday, January 26) to Thursday, January 28. You should consider all other due dates listed on Canvas and on the course website as pretty much set in stone for the remainder of the semester.

Going forward, I will typically not post reminders like this concerning Finance 4366 assignment deadlines; however, you’ll be “good to go” in Finance 4366 if you faithfully follow the guidelines listed in my “How to know whether you are on track with Finance 4366 assignments” posting.

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