FINN 6211: Fixed Income Securities and Credit Risk
University of North Carolina, Charlotte
The fixed income securities and portfolios, as well as the theory and practice of fixed income markets. Topics include: fixed income instruments and sectors, duration and convexity, term structure of interest rates, securitization, portfolio management, hedging, and credit risk.
Average GPA: 3.69
Grade distribution records: 410 students across 20 terms.
Grade distribution
| Grade | Students | Percent |
|---|---|---|
| A | 282 | 68.8% |
| B | 99 | 24.1% |
| C | 12 | 2.9% |
| W | 10 | 2.4% |
Based on 410 student grade records across 20 terms and 7 professors.
Instructors
- Tao-Hsien King 228 students, Average GPA 3.71
- Steven Clark 72 students, Average GPA 3.70
- I-Hsuan Chiang 40 students, Average GPA 3.75
- Alex Castelli 27 students, Average GPA 3.71
- Jacques Longerstaey 25 students, Average GPA 3.12
- Taichun Piao 11 students, Average GPA 4.00
- Azamat Abdymomunov 7 students, Average GPA 4.00