At the conclusion of this course of study, the student will demonstrate:
- Knowledge of a comprehensive and strategic business perspective;
- Knowledge of decision-making models that incorporate risk and uncertainty;
- Understanding of market economics;
- Understanding of financial tools, quantitative applications and accounting statement analysis in a financial context;
- Understanding of investment theory and security portfolio management;
- The ability to perform financial analyses to differing situations including comparative case studies, of public-traded corporations;
- The ability to conduct strategic financial decision review (capital decisions, budgeting and performance analysis); and
- The ability to develop financial plans based on models, tools and research.