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Lecture
Principles of Finance: Risk and Return
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Related lectures (32)
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Investment Decisions: Annuities and Discounting Costs
Covers investment decisions, focusing on annuities, discounting costs, and evaluating profitability through net present value and internal rates of return.
Valuation Methods: APV vs. WACC
Covers the APV valuation method, comparing it to the WACC method and discussing the Flow-to-Equity method and default costs.
Valuing Firms and Projects
Introduces the DCF method for valuing firms and projects, emphasizing the importance of using cash flows over earnings in finance.
Principles of Finance: CAPM and Portfolio Management
Explores the CAPM, risk premiums, efficient portfolios, and market efficiency.
Valuation under Uncertainty
Covers risk in investment decisions, valuation of uncertain cash flows, rate of return, portfolio returns, and mean-variance utility.
Modigliani/Miller Theorem: Capital Structure and Firm Value
Delves into the Modigliani/Miller Theorem, showing how a firm's value remains unaffected by its capital structure in perfect markets.
Principles of Finance: Portfolio Optimization and CAPM
Explores portfolio optimization, efficient frontier, CAPM, and risk management in finance.
Principles of Finance: APV and Debt Levels
Covers Adjusted Present Value and debt levels' impact on interest tax shields and project valuation.
Principles of Finance: Capital Structure and Cost of Capital
Explores capital structure decisions, WACC method, leverage, valuation methods, betas estimation, and project-based cost of capital.
Understanding TRI in Financial Management
Covers the concept of Total Rate of Return (TRI) in financial management.