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ECON 414

Asset Pricing and Portfolio Theory in Practice

Course statistics

Predicted GPA
3.48
n = 54 · 1 term · ± 0.067
A range
57%
of letter grades
Taken P/NP
0%
— of those passed
D / F / W
0.0%
incl. withdrawals

Sections in Fall 2026

Not offered in Fall 2026.

Enrollment history

Final enrollment per term, averaged across that term's sections. Four years deep, summer excluded. Per-section live curves are on each section page.

  • 5422S
Enrolment by term: 22S 54
Peak 54 Most recent 54 in 22S 1 term on record

Grade distribution

  • A 14 · 25.9%
  • A- 17 · 31.5%
  • B+ 10 · 18.5%
  • B 10 · 18.5%
  • B- 3 · 5.6%

Grey bars are non-letter outcomes — P/NP, S/U, incompletes. They are excluded from the GPA entirely rather than scored, because counting a P as a 4.0 would be a fabrication.

By instructor

Instructor Predicted Raw n Terms A range
MLADINA, PETER JOHN 3.51 3.52 54 1 57%

“Predicted” is shrunk toward the course average, which is itself shrunk toward the department — so an instructor with a handful of students sits near the course mean rather than topping the list.

By term