Assistant/Associate Adjunct Faculty in Finance, FIN 610.01, Portfolio Management- Summer Quarter 2020

Saint Mary’s College of California

Moraga, CA

ID: 7066423 (Ref.No. 1918968)
Posted: May 25, 2020
Application Deadline: Open Until Filled

Job Description

Location: Moraga, CA
Open Date: May 21, 2020

Description:Founded in 1863, Saint Mary's is a residential campus nestled 20 miles east of San Francisco in the picturesque Moraga Valley. Based in the Catholic, Lasallian and Liberal Arts traditions, Saint Mary's currently enrolls more than 4,000 students from diverse backgrounds in undergraduate and graduate programs. The De La Salle Christian Brothers, the largest teaching order of the Roman Catholic Church, guide the spiritual and academic character of the College.

As a comprehensive and independent institution, Saint Mary's offers undergraduate and graduate programs integrating liberal and professional education. Saint Mary's reputation for excellence, innovation, and responsiveness in education stems from its vibrant heritage as a Catholic, Lasallian and Liberal Arts institution. An outstanding, committed faculty and staff that value shared inquiry, integrative learning, and student interaction bring these traditions to life in the 21st century. The College is committed to the educational benefits of diversity.

FIN 610.01: Portfolio Management

Summer Quarter 2020, 07/6/2020-09/12/2020, Meets online every second Saturday (Last two Saturday classes are back-to-back, 9/5 & 9/12) 8:30 AM - 12:30 PM and online every Tuesday Evening, 6:00-8:00 pm.

This course covers portfolio management which is the process of constructing, managing, and monitoring investment portfolios for individuals and for institutions (e.g. pension plans and university endowment funds). The course covers a broad range of topics including the use of equity / fixed income / alternative investments / derivatives, asset allocation, passive and active equity and fixed income strategies, behavioral finance, investment policy statements, portfolio immunization, the regulatory environment, taxes, international investing, performance measurement / benchmarking / attribution, and ethical application of portfolio management.


- Ph.D. degree in Finance or a closely related field and a recent publication record in the field, OR

- A Master’s degree in Finance or a closely related field and five years of current, relevant professional experience.

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We envision a community that goes beyond tolerance of differences to one guided by social justice, cultural competence and engaged citizenship. We know we can reach greater heights of excellence by learning from diverse people.


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