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  Module:Investment and Portfolio Risk
  Performance Analysis
  CAPM,CML and SML
  Market efficiency,equilibrium
  Sharpe ratio and information ratio
  Tracking error
  Factor models and Arbitrage Pricing Theory Portfolio construction
  Portfolio Risk
  Risk Budgeting
  Setting risk limits
  Hedge Fund Risk Management
  Risk-return metrics specific to hedge funds
  Risks of specific strategies
  Asset illiquidity,valuation,and risk measurement
  The use of leverage and derivatives and the risks they create
  Measuring exposures to risk factors and Pension fund risk management