Next Tuesday’s Finance 4335 class meeting will be devoted to a review session for Midterm 2, which is scheduled for the following Tuesday, November 5. I highly recommend reviewing problem sets 5-7 and the various class problems (insurance economics, moral hazard, adverse selection, portfolio theory, capital market theory). Solutions for all of these are available at http://risk.garven.com/category/problem-set-solutions. Also, try working the Spring 2019 Midterm 2 before tomorrow’s class if time permits. If you prepare this way, it will be a particularly productive class meeting indeed!