01: Financial Management - Major Areas and Concepts 02: Introduction to Real Assets & Securities 03: Analysis of Financial Statements 04: Introduction to Interest Theory 05: Financial Planning & Forecasting 06: Cash Flow Discounting 07: Discounted Cash Flow Techniques 08: Introduction to Capital Budgeting 09: Net Present Value & Internal Rate of Return 10: Real Asset Project Cash Flow 11: Capital Budgeting - Real Asset Project 12: Capital Budgeting - Real Asset Project Contd. 13: Introduction to Bonds 14: Bonds - Valuation & Theory 15: Bond Valuation & Yield 16: Introduction to Stocks 17: Common Stock Pricing 18: Common Stock - Rate of Return & EPS Pricing Model 19: Introduction to Risk and Return 20: Risk for Single Stock Investment 21: Introduction to Two Stock Portfolio Theory 22: Portfolio Risk Analysis 23: Efficient Portfolios, Market Risk, & CML |
24: Stock Beta, Portfolio Beta 25: Stock Betas & Risk 26: SML Graph & CAPM 27: Review of Risk, Portfolio Theory & CAPM 28: Introduction to Debt, Efficient Market & Cost of Capital 29: WACC (Weighted Average Cost of Capital) 30: Operating Leverage (OL), Breakeven Point & ROE 31: Firms' Operating Leverage and Financial Risk 32: Financial Leverage and Capital Structure Theory 33: Capital Structure Theories 34: Impact of Debt on Firm Value & WACC Graphs 35: Net Income & Tax Shield Approaches 36: Review of Capital Structure Management 37: Dividend Payout 38: Dividend Policy 39: Working Capital Management 40: Cash Management &Working Capital FINANCING 41: Introduction to Lease Financing 42: Lease Financing Contd. 43: Mergers & Acquisitions 44: International Finance 45: Final Review of financial management |