Corporate Finance | Free Udemy Course
Learn corporate finance from a practicing CPA Certified Public Accountant | Free Udemy Course
- 163.5 hours hours of on-demand video
- 19 article
- Full lifetime access
- Access on mobile and TV
- Certificate of completion
- 382 additional resources
- List corporate finance topics and understand them in a comprehensive way
- Have a comprehensive corporate finance recourse to use as a reference in future endeavors
- How to read & analyze financial statements
- How to read & analyze financial statements
- How to use Excel or Google Sheets to work many practice problems
- List common financial ratios, understand how they are used, and calculate them
- Create forecasts and and budgets
- Explain what break-even analysis is, how it is used, and how to perform calculations
- Understand how to make financing decisions
- Be able to apply management of current asset concepts to run a more efficient operation
- List issues related to short term financing and make short term financing decisions
- Understand time value of money concepts
- Know when to apply time value of money principles
- Be able to calculate present value and future value using multiple methods
- Calculate the valuation of bonds
- Calculate the valuation of preferred stock
- Calculate the valuation of common stock
- Explain the concept of cost of capital and apply it to debt and equity financing
- Describe to make long term capital budgeting decisions using time value of money concepts
- Calculate net present value (NVP)
- Calculate internal rate of return (IRR)
- Describe what capital markets are and how the can be used by a corporation
- Explain what investment banking is and how it can be useful to a corporation
- Be able to make long term debt and lease financing decisions
- Define dividends and understand how to make corporate dividend policy
- Define convertible bonds and analyze them impact of them to the company and to investors
- Explain what mergers and acquisitions are and common issues related to them
- Understand how foreign currency transactions can impact financial decisions
- Calculate foreign currency exchanges
- Explain what forward contracts are and how they can be used
We will learn how to read financial statements and how to use them for decision making.A primary tool we will use is ratio analysis. Ratio analysis is a very useful skill in a wide area of topics, and financial analysis is a great place to learn the skill.Ratios are necessary when measuring performance, including most any job performance. For example, we must apply ratio analysis when measuring the job performance of sports athletes. Similar ratio analysis will apply to most any job performance, and also apply to the performance of corporations.Once we analyze the past performance of a corporation, we can use this knowledge to predict future performance, helping us make decisions about the company, whether those decisions be investment-related, creditor related, or managerial.This course will include many example problems using both a presentation format and a spreadsheet format.Corporate finance is a wonderful tool to learn, improve, and practice Excel or Google Sheets spreadsheet skills. Every spreadsheet practice problem will include a downloadable Excel file, that can be opened with Google Sheets, containing at least two tabs, one with the answer, the other with a preformatted worksheet to be filled in along with a step by step instructional video.Who this course is for:Finance ProfessionalsFinance StudentsBusiness OwnersAnybody who wants to understand financial concepts and have a reference tool for them
Course Content:
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- 110 Finance, Accounting, & Economics12:05
- Translate, listen, and or read in multiple languages resource00:01
- 115 Finance Topics & Activities15:01
- 120 Types of Business Organizations27:36
- 125 Financial Management Goals13:53
- 130 Financial Markets10:12
- 205 Financial Statements Overview20:16
- 210 Balance Sheet Introduction17:22
- 215 Balance Sheet Continued23:58
- 220 Income Statement Overview13:24
- 225 Income Statement Continued33:54
- 230 Statement of Retained Earnings20:09
- 235 Statement of Cash Flows34:54
- OneNote Resource00:01
- 211 Earnings Per Share & Gross Profit28:12
- 214 Operating Income15:26
- 215 Income Statement Accounts19:55
- 216 Make an Income Statement23:16
- 218 Make an Income Statement Including Earning Per Share13:37
- 223 Balance Sheet Current Noncurrent Classification31:23
- 224 Balance Sheet & Income Statement Classification22:44
- 225 Balance Sheet Alternative Formats31:25
- 227 Retained Earnings & Earnings Per Share10:50
- 230 Cash Flow Based on Account Activity20:50
- 231 Depreciation and Cash Flow Statement12:02
- 232 Free Cash Flow04:07
- 233 Book Value Per Share07:08
- 234 Book Value Per Share Earnings Per Share PE Ratio12:20
- 237 Financial Statements Creation24:41
- 238 Statement of Cash Flows42:43
- 211 Earnings Per Share & Gross Profit16:17
- 214 Operating Income08:37
- 215 Income Statement Account Order09:49
- 216 Make an Income Statement16:28
- 218 Make an Income Statement Including Earning Per Share19:36
- 220 Income Statement with Expense Unknown & Tax & Interest Expense Calculations22:06
- 223 Balance Sheet Current Noncurrent Classification13:28
- 224 Balance Sheet & Income Statement Classification15:57
- 225 Balance Sheet Alternative Formats40:29
- 226 Increase in Retained Earnings & Earnings Per Share11:33
- 227 Retained Earnings & Earnings Per Share09:48
- 228 Earning Per Share & Price to Earnings Ratio23:01
- 230 Cash Flow Based on Account Activity11:45
- 231 Depreciation and Cash Flow Statement13:42
- 232 Free Cash Flow03:52
- 233 Book Value Per Share12:26
- 234 Book Value Per Share Earnings Per Share PE Ratio18:13
- 235 Book Value Per Share Earnings Per Share PE Ratio # 213:00
- 237 Financial Statements Creation37:23
- 238 Statement of Cash Flows42:53
- 305 Ratio Analysis Introduction23:43
- 315 DuPont System of Analysis26:15
- OneNote Resource00:01
- 311 Profit Margin Percent10:19
- 312 Return on Investment (ROI)11:46
- 313 Return on Assets, Total Asset Turnover, & Profit Margin13:26
- 314 Return on Investment, Total Asset Turnover, & Profit Margin13:55
- 315 Profit Margin Two Years Comparison & Income Statement09:21
- 317 Expense to Sales Ratios17:58
- 318 Return on Assets, Return on Equity, & Asset Turnover11:51
- 325 Total Asset Turnover & Return on Equity-More Complex Relationships10:49
- 326 Total Asset Turnover, Return on Equity, & Profit Margin14:57
- 327 Return on Equity & Other Ratios Two Company Comparison15:32
- 328 Average AR Collection Period08:02
- 331 Turnover Ratios Two Year Comparison14:54
- 332 Multiple Ratio Calculations21:40
- 333 Times Interest Earned & Fixed Charge Coverage10:07
- 337 Asset Turnover & Return on Equity Trend Analysis15:21
- 338 Asset Turnover & Debt to Asset Compared to Industry14:29
- 339 Net Profit Margin & ROA Division Comparison13:45
- 342 Ratios to Create Current Assets Portion of Balance Sheet14:04
- 343 Use Ratios to Create a Balance Sheet24:31
- 344 Use Ratios to Create Account Balances15:44
- 346 Comprehensive Ratio Analysis35:25
- 347 P1 Comprehensive Ratio – Two Companies Part 129:44
- 347 P2 Comprehensive Ratio – Two Companies Part 228:14
- 311 Profit Margin Percent06:22
- 312 Return on Investment (ROI)13:35
- 313 Return on Assets, Total Asset Turnover, & Profit Margin12:03
- 314 Return on Investment, Total Asset Turnover, & Profit Margin11:54
- 315 Profit Margin Two Years Comparison & Income Statement10:56
- 317 Expense to Sales Ratios17:57
- 318 Return on Assets, Return on Equity, & Asset Turnover14:56
- 325 Total Asset Turnover & Return on Equity-More Complex Relationships11:31
- 326 Total Asset Turnover, Return on Equity, & Profit Margin20:58
- 327 Return on Equity & Other Ratios Two Company Comparison17:48
- 328 Average AR Collection Period12:32
- 331 Turnover Ratios Two Year Comparison19:10
- 332 Multiple Ratio Calculations25:08
- 333 Times Interest Earned & Fixed Charge Coverage11:00
- 337 Asset Turnover & Return on Equity Trend Analysis13:52
- 338 Asset Turnover & Debt to Asset Compared to Industry16:36
- 339 Net Profit Margin & ROA Division Comparison11:03
- 342 Ratios to Create Current Assets Portion of Balance Sheet18:37
- 343 Use Ratios to Create a Balance Sheet28:01
- 344 Use Ratios to Create Account Balances16:07
- 346 Comprehensive Ratio Analysis # 130:19
- 347 P1 Comprehensive Ratio – Two Companies28:20
- 347 P2 Comprehensive Ratio – Two Companies Part 228:18
- 405 Forecasting Objectives09:21
- 410 Pro Forma Income Statement13:42
- 415 Cash Budget16:10
- 420 Pro Forma Balance Sheet03:50
- 425 Percent of Sales Method10:50
- OneNote Resource00:01
- 414 Sales Projection – Multiple Scenarios08:20
- 416 Estimated Net Sales10:43
- 418 Projected Units to be Produced11:44
- 423 Calculate Cost of Goods Sold Using FIFO & LIFO20:37
- 424 Calculate Cost of Ending Inventory LIFO & FIFO25:56
- 427 Schedule of Cash Receipts08:24
- 428 Schedule of Cash Receipts – Multiple Scenarios18:22
- 430 Schedule of Cash Payments07:48
- 431 Schedule of Cash Payments – More Complex14:50
- 432 Production Schedule & Schedule of Cash Payments13:07
- 434 Cash Budget & Cash Receipts Schedule13:56
- 435 Cash Budget, Cash Receipts Schedule, Cash Payments Schedule28:15
- 437 Required New Fund Formula All Balance Sheet Accounts Change Relative to Sale16:45
- 438 Required New Fund Formula – Current Assets & Liabilities Change Relative to16:23
- 414 Sales Projection – Multiple Scenarios04:14
- 416 Estimated Net Sales12:16
- 418 Projected Units to be Produced14:39
- 421 Calculate Cost of Goods Sold Using FIFO10:47
- 423 Calculate Cost of Goods Sold Using LIFO & FIFO16:00
- 424 Calculate Cost of Ending Inventory LIFO & FIFO33:17
- 427 Schedule of Cash Receipts08:44
- 428 Schedule of Cash Receipts – Multiple Scenarios22:53
- 430 Schedule of Cash Payments08:11
- 431 Schedule of Cash Payments – More Complex20:35
- 432 Production Schedule & Schedule of Cash Payments13:29
- 434 Cash Budget & Cash Receipts Schedule17:27
- 435 Cash Budget, Cash Receipts Schedule, Cash Payments Schedule28:03
- 436 Cash Receipts, Cash Payments, & Cash Budget31:27
- 437 Required New Fund Formula – All Balance Sheet Accounts Change Relative to Sa14:22
- 438 Required New Fund Formula – Current Assets & Liabilities Change Relative to17:14
- 505 Leverage Overview16:55
- 510 Break Even Analysis15:15
- 515 Degree of Operating Leverage09:30
- 520 Financial Leverage10:39
- 525 Combined Leverage08:56
- OneNote Resource00:01
- 511 Break Even Analysis18:41
- 512 Break Even Point & Fixed & Variable Cost14:08
- 515 Break Even Analysis Projection Plan17:05
- 517 Cash Break Even Point12:25
- 520 P1 Degree of Operating Leverage, Degree of Financial Leverage, & Combined Le24:22
- 520 P2 Degree of Operating Leverage, Degree of Financial Leverage, & Combined Le15:58
- 521 P1 Second Degree of Operating Leverage, Degree of Financial Leverage, & Comb18:16
- 521 P2 Second Degree of Operating Leverage, Degree of Financial Leverage, & Co13:22
- 522 Degree of Leverage Problem 119:46
- 523 Degree of Leverage Problem 219:06
- 524 Nonlinear Breakeven Analysis08:56
- 525 Degree of Operating Leverage Alternative Formula14:03
- 528 Price Earnings Ratio Comparison for Companies with Different Leverage14:09
- 531 Leverage Ratios & Projected Expansion Scenarios17:34
- 511 Break Even Analysis17:43
- 512 Break Even Point & Fixed & Variable Cost19:52
- 515 Break Even Analysis Projection Plan24:30
- 517 Cash Break Even Point17:50
- 520 P1 Degree of Operating Leverage, Degree of Financial Leverage, & Combined Le24:22
- 520 P2 Degree of Operating Leverage, Degree of Financial Leverage, & Combined Le21:42
- 521 P1 Second Degree of Operating Leverage, Degree of Financial Leverage, & Comb23:45
- 521 P2 Second Degree of Operating Leverage, Degree of Financial Leverage, & Comb19:50
- 522 Degree of Leverage Problem 130:35
- 523 Degree of Leverage Problem 228:57
- 524 Nonlinear Breakeven Analysis11:55
- 525 Degree of Operating Leverage Alternative Formula23:14
- 526 Financial Leverage & Earnings Per Share18:09
- 527 Using Price to Earnings Ratio PE Ratio to Calculate Market Price05:55
- 528 Price Earnings Ratio Comparison for Companies with Different Leverage13:39
- 531 Leverage Ratios & Projected Expansion Scenarios24:51
- 533 P1 Leverage Analysis Problem 1 Part 115:06
- 533 P2 Leverage Analysis Problem 1 Part 214:54
- 534 P1 Leverage Analysis Problem 2 Part 114:12
- 534 P2 Leverage Analysis Problem 2 Part 218:24
- 535 Financing Plans to Increase Assets26:41
- 605 The Nature of Asset Growth21:16
- 610 Patterns of Financing17:28
- OneNote Resource00:01
- 611 Estimated Sales Values Estimated Sales Values08:49
- 613 Estimating Financing Needed for Increase in Assets10:07
- 615 Level Production vs Seasonal Production21:31
- 617 Short Term Loan vs Long Term Loan14:16
- 619 Equipment Short Term Financing vs Long Term Loan Financing07:14
- 620 Asset & Financing Mix Options12:33
- 622 Asset Mix & Financing Mix08:43
- 624 Comparing Financing Strategies10:25
- 625 Financing Strategies – Permanent & Temporary Assets11:47
- 626 Expectations Hypothesis Theory for Expected Returns on Securities05:15
- 629 Break Even Point in Interest Rates12:50
- 631 Level Production & Budgeted Cash Flow29:49
- 611 Estimated Sales Values10:09
- 613 Estimating Financing Needed for Increase in Assets08:40
- 615 Level Production vs Seasonal Production22:58
- 617 Short Term Loan vs Long Term Loan19:19
- 619 Equipment Short Term Financing vs Long Term Loan Financing12:49
- 620 Asset & Financing Mix Options25:22
- 622 Asset Mix & Financing Mix08:21
- 624 Comparing Financing Strategies22:11
- 625 Financing Strategies – Permanent & Temporary Assets18:00
- 626 Expectations Hypothesis Theory for Expected Return on Securities09:14
- 629 Break Even Point in Interest Rates13:54
- 631 Level Production & Budgeted Cash Flow32:44
- 705 Management of Current Assets Introduction06:36
- 710 Management of Cash14:46
- 715 Cash Management International02:58
- 720 Marketable Securities03:05
- 725 Accounts Receivable Management11:19
- 730 Inventory Management17:09
- 735 Just-In-Time Inventory08:39
- OneNote Resource00:01
- 711 Cash Management08:47
- 713 Foreign Currency Cash Management13:59
- 715 Accounts Receivable & Ave Collection Period17:14
- 722 Economic Ordering Quantity (EOQ) Prob 123:39
- 726 Level vs Seasonal Production Decision08:01
- 727 Customer Credit Policy Decision21:46
- 731 Customer Credit Policy, Turnover Ratios, & ROI17:06
- 732 Customer Payment Terms & Discount Policy14:15
- 734 Customer Payment Terms & Discount Policy28:55
- 711 Cash Management08:54
- 713 Foreign Currency Cash Management13:04
- 715 Accounts Receivable & Ave Collection Period22:47
- 721 Accounts Receivable Aging11:28
- 722 Economic Ordering Quantity (EOQ) Prob 125:13
- 724 Economic Ordering Quantity (EOQ) Prob 222:28
- 726 Level vs Seasonal Production Decision06:11
- 727 Customer Credit Policy Decision19:24
- 731 Customer Credit Policy, Turnover Ratios, & ROI17:44
- 732 Customer Payment Terms & Discount Policy16:44
- 734 Customer Payment Terms & Discount Policy33:37
- 805 Accounts Payable or Trade Credit07:36
- 810 Credit from Bank12:36
- 815 Commercial Paper Financing02:21
- 820 Collateral & Short-Term Financing03:12
- 825 Accounts Receivable Financing06:36
- 830 Inventory Financing07:25
- OneNote Resource00:01
- 810 Cost of Not Taking Cash Discount Calculation18:47
- 812 Cost of Not Taking Cash Discount Example17:30
- 814 Effective Interest Rate16:39
- 816 Effective Rate on a Discounted Loan17:24
- 818 LIBOR Loan Effective Interest Rate09:49
- 819 Foreign Currency Borrowing & Effective Interest Rate10:50
- 820 Interest or Dollar Cost of Loan Calculation17:09
- 821 Net Credit Position16:42
- 822 Compensating Balance Loan21:39
- 825 Compensating Balance Loan with Idle Cash & Effective Interest14:11
- 810 Cost of Not Taking Cash Discount Calculation19:38
- 812 Cost of Not Taking Cash Discount Example25:19
- 814 Effective Interest Rate25:42
- 816 Effective Rate on a Discounted Loan26:23
- 818 LIBOR Loan Effective Interest Rate11:44
- 819 Foreign Currency Borrowing & Effective Interest Rate10:11
- 820 Interest or Dollar Cost of Loan Calculation16:18
- 821 Net Credit Position18:37
- 822 Compensating Balance Loan22:17
- 825 Compensating Balance Loan with Idle Cash & Effective Interest18:36
- 910 Time Value of Money Overview11:23
- 915 Present Value16:37
- 920 Present Value Months as Period03:58
- 923 Future Value12:41
- 927 Future Value Months As Period03:56
- 930 Future Value vs Present Value06:13
- 933 Present Value Annuity13:50
- 936 Present Value Annuity Months as Period03:23
- 939 Future Value Annuity11:27
- 942 Future Value Annuity Months03:55
- 945 Present Value Cash Flow Examples14:05
- 948 Future Value Cash Flow Examples09:02
- 951 Present Value Terms Used In Capital Budgeting08:00
- 954 Net Present Value Assumptions02:05
- OneNote Resource00:01
- 911 Future Value FV Multiple Forms of Calculation20:37
- 912 Present Value (PV) Calculation – Multiple Ways14:08
- 915 Future Value Compounded Annually vs Semiannually19:25
- 916 Present Value (PV) Decision Making15:18
- 919 Present value Different Discount Rates Side by Side10:51
- 920 Present Value Planning Scenario22:41
- 921 Future Value of an Annuity18:25
- 922 Future Value Uneven Investments11:33
- 923 Present Value Annuity13:44
- 926 Present Value Annuity14:31
- 927 Present Value Uneven Payments16:29
- 929 Future Value of a Collectible08:22
- 930 Future Value of an Annuity10:00
- 931 Future Value - How Long to Double or Triple Investments15:51
- 933 Present Value - Estimate Stock Returns & Sale12:08
- 935 Future Value - Compounded Quarterly12:05
- 936 Future Value Compounded Annually, Quarterly, & Monthly16:21
- 940 How Much to Invest to Reach Goal - One Investment vs Annuity16:10
- 941 Use Annuity Calculation to Find Interest Rate13:13
- 944 Use Annuity Calculation to Find Interest Rate11:58
- 945 Use Annuity Calculation to Find Payment Amount10:32
- 947 Retirement Scenario PV Annuity & FV Annuity19:38
- 948 Present Value Uneven Payments20:21
- 950 Deferred Annuity15:57
- 952 FV of One & PV Annuity Loan - Uneven Repayment16:17
- 954 Home Loan Payment Calculation24:50
- 955 Future Value of Annuity Interest Rate Change24:57
- 956 PV & FV of Annuity College Savings Plan Adjustment23:35
- 911 Future Value FV Multiple Forms of Calculation26:05
- 912 Present Value (PV) Calculation – Multiple Ways26:21
- 915 Future Value Compounded Annually vs Semiannually29:43
- 916 Present Value Decision Making21:08
- 919 Present Value Different Discount Rates Side by Side14:35
- 920 Present Value Planning Scenario27:17
- 921 Future Value of an Annuity22:45
- 922 Future Value Uneven Investments16:45
- 923 Present Value Annuity14:16
- 926 Present Value Annuity13:52
- 927 Present Value Uneven Payments21:25
- 930 Future Value of an Annuity11:33
- 931 Future Value How Long to Double or Triple Investment18:21
- 933 Present Value Estimate Stock Returns & Sale18:01
- 935 Future Value Compounded Quarterly13:32
- 936 Future Value Compounded Annually, Quarterly, & Monthly22:34
- 938 Present Value of an Annuity Payments at Beginning of Period15:19
- 939 Current Payment, Annuity, or Future Payment Alternatives16:37
- 940 How Much to Invest to Reach Goal – One Investment vs Annuity19:47
- 941 Future Value Calculate Investment Rate of Return14:59
- 944 Use Annuity Calculate to Find Interest Rate18:47
- 945 Use Annuity Calculation to Find Payment Amount17:27
- 947 Retirement Scenario PV Annuity & FV Annuity26:08
- 948 Present Value Uneven Payments27:08
- 950 Deferred Annuity17:48
- 952 FV of One & PV Annuity Loan – Uneven Repayment24:33
- 954 Home Loan Payment Calculation33:28
- 955 Future Value of Annuity Interest Rate Change34:38
- 956 PV & FV of Annuity College Savings Plan Adjustment30:03
- 1003 Financial Asset Valuation09:05
- 1005 Bond Issued at Par05:36
- 1010 Bonds Market Rate vs Contract Rate07:32
- 1015 Issue bond at a discount%2C calculate%2C and record interest payment26:14
- 1020 Bond Issued at Premium07:19
- 1025 Bonds Present Value Formulas13:32
- 1030 Bond Price Present Value Tables09:22
- 1035 Bond Price Excel Formula12:32
- 1040 Preferred Stock Valuation07:52
- 1045 Common Stock Valuation16:33
- OneNote Presentation00:01
- 1011 Bond Value Different Yield Rates Prob 132:18
- 1012 Bond Value Different Yield Rates Prob 230:55
- 1014 Principal as a % of bond price16:20
- 1015 Bond Value Different Maturity Dates21:24
- 1018 Bond Sale Percentage Profit (ROI)17:53
- 1020 Bond Sale Percentage Profit (ROI) Long Term Sale21:37
- 1023 Calculate Bond Rate & Change in Rate19:52
- 1025 Calculate Bond Rate & Change in Rate Prob. 221:28
- 1028 Find Bond Market Rate or Yield10:21
- 1030 Find Bond market Rate or yield Semiannual13:46
- 1031 Bond Value Semiannual Payments16:19
- 1032 Bond Value Semiannual Rate Change20:21
- 1011 Bond Value Different Yield Rates Prob 134:42
- 1012 Bond Value Different Yield Rates Prob 230:10
- 1014 Principal as a % of bond price12:44
- 1015 Bond Value Different Maturity Dates28:17
- 1018 Bond Sale Percentage Profit (ROI)20:07
- 1020 Bond Sale Percentage Profit (ROI) Long Term Sale22:29
- 1023 Calculate Bond Rate & Change in Rate20:53
- 1025 Find Bond Market Rate or Yield10:07
- 1028 Calculate Bond Rate & Change in Rate Prob. 224:29
- 1030 Find Bond Market Rate or Yield Semiannual12:29
- 1031 Bond Value Semiannual Payments16:35
- 1032 Bond Value Semiannual Rate Change25:10
- 1034 Preferred Stock Value07:05
- 1036 Preferred Stock Yield or Rate of Return02:30
- 1037 Common Stock Price No Growth Assumed04:18
- 1038 Common Stock Value Calculate Stable Growth08:35
- 1041 Estimated Earnings Per Share & Dividends06:57
- 1042 Common Stock Rate of Return Constant Growth Rate04:44
- 1044 Common Stock Value Multiple Methods16:18
- 1105 Cost of Capital Debt Equity Financing Overview05:31
- 1110 Weighted Average Cost of Capital WACC11:25
- 1115 Cost of Debt10:36
- 1120 Cost of Preferred Stock08:27
- 1125 Cost of Common Equity16:20
- 1130 The Optimal Capital Structure10:33
- OneNote Resource00:01
- 1114 Cost of Debt After Tax Prob 112:19
- 1115 Cost of Debt After Tax Prob. 216:03
- 1117 Cost of Debt After Tax Interest Rate Calculation08:59
- 1119 Cost of Debt After Tax Interest Rate Calculation20:24
- 1120 Calculate Change in Cost of Debt After tax Due to Reduced Tax Rates12:17
- 1123 Cost of Preferred Stock Percent06:23
- 1126 Financing Common Stock Prob 108:59
- 1127 Financing Common Stock Prob. 216:03
- 1112 Weighted Average Cost of Capital (WACC)12:36
- 1114 Cost of Debt After Tax Prob 113:12
- 1115 Cost of Debt After Tax Prob 225:46
- 1117 Cost of Debt After Tax Interest Rate Calculation11:27
- 1119 Calculate Bond After Tax Cost to Issue22:31
- 1120 Calculate Change in Cost of Debt After Tax Due to Reduced Tax Rates12:20
- 1123 Cost of Preferred Stock Percent04:17
- 1124 Calculate Preferred Stock Current Yield03:31
- 1125 Financing Debt vs Preferred Stock11:12
- 1126 Financing Common Stock Prob 109:59
- 1127 Financing Common Stock Prob 218:55
- 1205 Capital Budgeting Decision Overview16:33
- 1210 Payback Period11:34
- 1215 Net Present Value (NPV)08:37
- 1220 Internal Rate of Return (IRR)06:39
- 1225 Project Selection Process07:09
- 1230 Modified Internal Rate of Return (MIRR)15:03
- 1235 Fixed Asset Replacement Decision08:28
- OneNote Resource00:01
- 1211 Cash Flow Calculation07:21
- 1213 Cash Flow Impact of Depreciation Due to Taxes05:49
- 1214 Cash Flow Impact of Tax Rate Change06:00
- 1216 Payback Period19:14
- 1217 Payback Period Comparing Projects of Different Length12:05
- 1219 Payback Period Time Value of Money Limitation12:21
- 1220 Net Present Value (NPV) vs Payback Period17:21
- 1221 Internal Rate of Return (IRR) Problem 112:08
- 1222 Internal Rate of Return (IRR) Problem 210:56
- 1223 Internal Rate of Return (IRR) Uneven Future Inflows09:34
- 1224 Net Present Value (NPV) With Negative Future Outflow08:48
- 1225 Net Present Value (NPV) With Closing Cost09:07
- 1226 Net Present Value (NPV) Delayed Payments09:11
- 1227 Net Present Value (NPV) vs Internal Rate of Return (IRR) Prob. 114:10
- 1228 Net Present Value (NPV) vs Internal Rate of Return (IRR) Prob. 214:50
- 1229 Profitability Index14:33
- 1230 Capital Budgeting with Reinvestment Rate Assumption13:57
- 1231 Modified Internal Rate of Return (MIRR)13:39
- 1234 Net Present Value Changing Discount Rate14:05
- 1235 MACRS Depreciation, Cash Flow, & Net Present Value Prob. 122:21
- 1237 MACRS Depreciation, Cash Flow, & Net Present Value Prob. 221:40
- 1238 5 Year MACRS Depreciation, Cash Flow, & Net Present Value21:41
- 1239 7 MACRS Depreciation, 10 Year Cash Flow, & Net Present Value25:05
- 1240 Land & 5 MACRS Depreciation, Cash Flow, & Net Present Value23:11
- 1241 Sales of Depreciated Assets & Tax Impact18:15
- 1211 Cash Flow Calculation07:46
- 1213 Cash Flow Impact of Depreciation Due to Taxes05:33
- 1214 Cash Flow Impact of Tax Rate Change05:33
- 1216 Payback Period17:42
- 1217 Payback Period Comparing Projects of Different Length14:15
- 1219 Payback Period Time Value of Money Limitation15:42
- 1220 Net Present Value (NPV) vs Payback Period20:55
- 1221 Internal Rate of Return (IRR) Problem 116:06
- 1222 Internal Rate of Return (IRR) Problem 212:50
- 1223 Internal Rate of Return (IRR) Uneven Future Inflows11:25
- 1224 Net Present Value (NPV) With Negative Future Outflow09:54
- 1225 Net Present Value (NPV) With Closing Cost09:41
- 1226 Net Present Value (NPV) Delayed Payments09:50
- 1227 Net Present Value (NPV) vs Internal Rate of Return (IRR) Prob. 115:00
- 1228 Net Present Value (NPV) vs Internal Rate of Return (IRR) Prob. 217:10
- 1229 Profitability Index15:37
- 1230 Capital Budgeting with Reinvestment Rate Assumption15:29
- 1231 Modified Internal Rate of Return (MIRR)13:02
- 1234 Net Present Value Changing Discount Rate14:13
- 1235 MACRS Depreciation, Cash Flow, & Net Present Value Prob. 123:51
- 1237 MACRS Depreciation, Cash Flow, & Net Present Value Prob. 218:54
- 1238 6 Year MACRS Depreciation, Cash Flow, & Net Present Value18:58
- 1239 7 MACRS Depreciation, 10 Year Cash Flow, & Net Present Value21:09
- 1240 Land & 5 MACRS Depreciation, Cash Flow, & Net Present Value20:29
- 1241 Sales of Depreciated Assets & Taxes Impact16:05
- 1242 5 Year MACRS Depreciation, WACC, Cash Flow, & Net Present Value19:08
- 1243 Buy New Fixed Asset or Keep Old Decision33:42
- 1310 Capital Budget Risk Overview07:27
- 1315 Measure of Risk12:19
- 1320 Risk & Discount Rates06:21
- 1325 Simulation Models05:12
- 1330 Investment Impact on Portfolio07:30
- OneNote Resource00:01
- 1300 Standard Deviation, Variance, & Coefficient of Variation22:06
- 1312 Standard Deviation, Variance, & Coefficient of Variation15:38
- 1313 Expected Value, Standard Deviation, & Coefficient of Variation Prob. 213:01
- 1314 Expected Value, Standard Deviation, & Coefficient of Variation Prob. 311:56
- 1316 Coefficient of Variation Three Investment Alternatives13:54
- 1318 Coefficient of Variation & Investment Risk07:29
- 1322 Coefficient of variation Two Project Alternatives11:06
- 1326 Expected Value & Net Present Value Even Yearly Cash Flows12:47
- 1328 Expected Value & Coefficient of Variation Investment Options11:31
- 1329 Expected Value in Capital Budgeting Decision Uneven Payments08:32
- 1331 Expected Value for Multiple Years & NPV17:40
- 1300 Standard Deviation, Variance, & Coefficient of Variation25:33
- 1312 Expected Value, Standard Deviation, & Coefficient of Variation Prob. 114:47
- 1313 Expected Value, Standard Deviation, & Coefficient of Variation Prob. 213:51
- 1314 Expected Value, Standard Deviation, & Coefficient of Variation Prob. 312:47
- 1316 Coefficient of Variation Three Investment Alternatives16:12
- 1318 Coefficient of Variation & Investment Risk06:04
- 1322 Expected Value & Net Present Value Even Yearly cash Flows11:19
- 1328 Expected Value & Coefficient of Variation Investment Options13:04
- 1329 Expected Value in Capital Budgeting Decision Uneven Payments07:33
- 1331 Expected Value for Multiple Years & NPV16:47
- 1405 Capital Markets Overview07:33
- 1410 Government Securities02:27
- 1415 Corporate Securities06:10
- 1420 Exchanges09:06
- 1425 Market Efficiency11:16
- 1430 Security Markets Regulation16:39
- 1505 Investment Banking Overview13:57
- 1510 Pricing the Security and Dilution03:00
- 1515 Public vs Private Financing11:41
- 1610 Long Term Debt & Lease Financing Overview11:14
- 1615 Bond Prices, Yields, & Ratings14:00
- 1620 Bond Refunding Decision04:41
- 1625 Other Forms of Bond Financing08:07
- 1630 Debt Pros & Cons04:22
- 1635 Leasing as a Form of Debt Financing16:06
- OneNote Resource00:01
- 1611 Bond Coupon Rate, Current Yield, and Yield to Maturity15:35
- 1614 Bond Coupon Rate, Current Yield, and Yield to Maturity Comparison19:53
- 1616 Calculate Multiple Bond Value05:24
- 1617 Debenture that is Callable Price Calculation06:11
- 1618 Impact of Bond Rating Change on Bond Price07:33
- 1621 Zero Coupon Rate Bond Price Calculation05:10
- 1622 Zero Coupon Bond Effective Yield to Maturity10:23
- 1624 Impact of Inflation on Borrowing18:09
- 1625 Bond Purchase on Margin & Then Sold06:24
- 1627 Bond Refunding Decision Prob. 115:01
- 1628 Bond Refunding Decision Prob. 217:28
- 1630 Capital Lease vs Operating Lease Determination09:05
- 1631 Capital Lease vs Operating Lease Balance Sheet Impact08:21
- 1611 Bond Coupon Rate, Current Yield, and Yield to Maturity28:34
- 1614 Bond Coupon Rate, Current Yield, and Yield to Maturity Comparison24:43
- 1616 Calculate Multiple Bond Value05:38
- 1617 Debenture that is Callable Price Calculation05:42
- 1618 Impact of Bond Rating Change on Bond Price06:21
- 1621 Zero Coupon Rate Bond Price Calculations05:15
- 1622 Zero Coupon bond Effective Yield to Maturity09:24
- 1624 Impact of Inflation on Borrowing14:03
- 1625 Bond Purchase on Margin & Then Sold07:19
- 1627 Bond Refinancing Decision Prob 119:37
- 1628 Bond Refinancing Decision Prob 216:44
- 1630 Capital Lease vs Operating Lease Determination12:00
- 1631 Capital Lease vs Operating Lease Balance Sheet Impact10:29
- 1632 Size of Lease Payment Calculation08:18
- 1710 Financing with Common Stock & Preferred Stock Overview17:15
- 1715 Use of Rights in Financing Company10:14
- 1716 Poison Pills07:20
- 1720 American Depository Receipts (ADR)04:47
- 1725 Preferred Stock Financing18:51
- OneNote Resource00:01
- 1711 Residual Claims to Earnings05:09
- 1712 Poison Pill05:42
- 1713 Cumulative Voting Prob. 117:31
- 1714 Cumulative Voting Prob. 215:24
- 1715 Cumulative Voting Prob. 313:44
- 1716 Cumulative Voting How Many Directors Can We Elect13:33
- 1718 Dissident Stockholder Group Cumulative Voting Multiple Scenarios25:17
- 1721 Rights Offering Introduction Problem14:11
- 1722 Rights Offering Rights Valuation Calculation07:15
- 1723 Rights Offering - Shares that Could be Acquired Calculation06:10
- 1724 Stock Rights Investing Scenario09:45
- 1725 Rights Impact on Asset Position11:00
- 1726 Rights Offering, EPS, & Price Earnings Ratio10:27
- 1727 Investment Options Including Preferred Stock Tax Impact11:59
- 1728 Preferred Dividends in Arrears06:38
- 1729 Dividends in Arrears Paid Off Through Issuing Bonds10:22
- 1730 Dividends in Arrears Paid Off Through Issuing Stock13:35
- 1731 Preferred Stock Borrow & Invest Decision10:55
- 1732 Preferred Stock Floating Rate04:49
- 1711 Residual Claims to Earnings03:58
- 1712 Poison Pill04:37
- 1713 Cumulative Voting Prob. 115:47
- 1714 Cumulative Voting Prob. 214:37
- 1715 Cumulative Voting Prob. 312:50
- 1716 Cumulative Voting How Many Directors Can We Elect18:43
- 1718 Dissident Stockholder Group Cumulative Voting Multiple Scenarios35:10
- 1721 Rights Offering Introduction Problem11:18
- 1722 Rights Offering Rights Valuation Calculation05:38
- 1723 Rights Offering – Shares that Could be Acquired Calculation05:40
- 1724 Stock Rights Investing Scenario13:05
- 1725 Rights Impact on Asset Position12:37
- 1726 Rights Offering, EPS, & Price Earnings Ratio12:27
- 1727 Investment Options Including Preferred Stock Tax Impact16:58
- 1728 Preferred Dividends in Arrears07:14
- 1729 Dividends in Arrears Paid Off Though Issuing Bonds09:09
- 1730 Dividends in Arrears Paid Off Through Issuing Stock13:49
- 1731 Preferred Stock Borrow & Invest Decision12:29
- 1732 Preferred Stock Floating Rate05:06
- 1805 Dividend Policy17:22
- 1810 Other Things That Impact Dividend Policy17:29
- 1815 Dividend Payment Terms07:45
- 1820 Stock Dividend12:37
- 1825 Stock Split13:33
- 1830 Repurchase of Stock & Dividend Reinvestment Plans05:05
- OneNote Resource00:01
- 1813 Payout Ratio14:21
- 1814 Payout Ratio, Dividends Per Share, Dividend Yield06:07
- 1816 Retained Earnings & Dividend Limits12:29
- 1817 Dividend Projection Life Cycle11:51
- 1818 Stock Split & Stock Dividend15:27
- 1819 Dividend Payout Policy Analysis11:02
- 1820 Annual Dividend Yield, EPS, & Price Earnings Ratio07:46
- 1821 Earnings Per Share, Dividends Per Share, & Dividend Yield08:23
- 1822 Ex Dividend Stock Price03:00
- 1823 Stock Dividend & Cash Dividend Impact on Equity Section14:28
- 1825 Dividends vs Investment Analysis10:37
- 1826 Dividend Policy Impact on Price or Stock Value07:01
- 1827 Stock Split 3 for 1 and 2 for 111:42
- 1828 Stock Dividend Impact on Equity & Investor Value14:39
- 1829 Stock Dividend & Impact on Investor Holdings13:04
- 1830 Reverse Stock Split07:22
- 1831 Stock Repurchase vs Cash Dividend07:36
- 1832 Dividend Payment Policy17:54
- 1813 Payout Ratio12:04
- 1814 Payout Ratio, Dividends Per Share, Dividend Yield07:18
- 1816 Retained Earnings & Dividend Limits09:57
- 1817 Dividend Projection Life Cycle08:36
- 1818 Stock Split & Stock Dividend19:34
- 1819 Dividend Payout Policy Analysis12:34
- 1820 Annual Dividend Yield, EPS, & Price Earnings Ratio07:19
- 1821 Earnings Per Share, Dividends Per Share, & Dividend Yield08:58
- 1822 Ex Dividend Stock Price03:18
- 1823 Stock Dividend & Cash Dividend Impact on Equity Section15:55
- 1825 Dividends vs Investment Analysis10:51
- 1826 Dividend Policy on Price of Stock Valuation08:27
- 1827 Stock Split 3 for 1 and 2 for 114:27
- 1828 Stock Dividend Impact on Equity & Investor Value16:09
- 1829 Stock Dividend & Impact on Investor Holdings19:36
- 1830 Reverse Stock Split09:11
- 1831 Stock Repurchase vs Cash Dividend08:59
- 1832 Dividend Payment Policy20:05
- 1905 Convertible Securities13:11
- 1910 Warrants07:49
- 1915 Derivative Securities05:42
- OneNote Resource00:01
- 1911 Warrants Intrinsic Value & Speculation Premium09:07
- 1913 Warrants Break Even Price13:05
- 1916 Convertible Bond Conversion Value & Conversion Premium06:59
- 1917 Convertible Bond Price & Conversion Value07:50
- 1919 Convertible Bond on Exchange04:27
- 1920 Convertible Bond Pure Bond Value vs Market Price Prob. 108:47
- 1921 Convertible Bond Pure Bond Value vs Market Price Prob. 209:20
- 1922 Convertible Bond Change in Price & Conversion Premium08:34
- 1923 Convertible Bond Crossover Point – Conversion Value Equals Pure Bond Value06:54
- 1924 Convertible Bonds & Call Feature04:18
- 1925 Convertible Bond Sale, Gain, & Rate of Return06:06
- 1926 Warrant vs Stock Price % Increase06:55
- 1927 Warrant Exercise & Rate of Return Calculations04:45
- 1928 Exercise Warrant Gain vs Common Stock Gain08:33
- 1929 Warrant Gain vs Stock Gain – Same Investment Amount07:31
- 1930 Convertible Bonds & Diluted Earnings Per Share08:17
- 1931 Convertible Bonds - Pure Bond value Impact vs Conversion Value Impact on Pr09:28
- 1933 Convertible Bonds Pure Bond Value & Falling Stock Price07:06
- 1911 Warrants Intrinsic Value & Speculation Premium10:21
- 1913 Warrants Break Even Price14:34
- 1916 Convertible Bond Conversion Value & Conversion Premium09:05
- 1917 Convertible Bond Price & Conversion Value06:09
- 1919 Convertible Bond on Exchange05:13
- 1920 Convertible Bond Pure Bond Value vs Market Price Prob 112:25
- 1921 Convertible Bond Pure Bond Value vs Market Price Prob 211:02
- 1922 Convertible Bond Change in Price & Conversion Premium07:10
- 1923 Convertible Bond Crossover Point – Conversion Value Equals Pure Bond Value11:33
- 1924 Convertible Bonds & Call Feature03:05
- 1925 Convertible Bond Sale, Gain, & Rate of Return07:32
- 1926 Warrant vs Stock Price % Increase08:34
- 1927 Warrant Exercise & Rate of Return Calculations05:34
- 1928 Exercise Warrant Gain vs Common Stock Gain11:37
- 1929 Warrant Gain vs Stock Gain – Same Investment Amount09:31
- 1930 Convertible Bonds & Diluted Earnings Per Share09:39
- 1931 Convertible Bonds Pure Bond Value Impact vs Conversion Value Impact on Pric12:04
- 1933 Convertible Bonds Pure Bond Value & Falling Stock Price08:45
- OneNote Resource00:01
- 2010 Acquisition & Tax Carryover with Even Inflows08:03
- 2012 Acquisition & Tax Carryover Spread Over Multiple Years08:56
- 2013 Acquisition Uneven Returns Prob. 119:26
- 2014 Acquisition Uneven Returns Prob. 217:41
- 2015 Merger & Earnings Per Share06:36
- 2020 Offer of Acquisition & Impact on Stock Price08:59
- 2021 Acquisition & Coefficient of Variation06:28
- 2022 Acquisition, Expected Value, Standard Deviation, & Coefficient of Variation12:52
- 2010 Acquisition & Tax Carryover with Even Inflows07:18
- 2012 Acquisition & Tax Carryover Spread Over Multiple Years11:49
- 2013 Acquisition Uneven Returns Prob. 115:29
- 2014 Acquisition Uneven Returns Prob. 215:37
- 2015 Merger & Earnings Per Share06:58
- 2017 Acquisition & Earnings Per Share08:10
- 2018 Acquisition in Two Steps06:14
- 2019 Owner Sells Interest & Tax Obligations11:52
- 2020 Offer of Acquisition & Impact on Stock Price09:51
- 2022 Acquisition, Expected Value, Standard Deviation, & Coefficient of Variation14:38
- 1110 Foreign Currency Exchange Rates20:47
- 1120 Foreign Currency Transactions32:20
- 1125 Forward Exchange Financial Instruments16:00
- 1130 Forward Exchange Contracts07:46
- OneNote Resource00:01
- 1133 Purchases & Sales Involving Foreign Currency36:35
- 1138 P2 Forward Contract to Hedge Commitment Agreement to Purchase24:29
- 1138 P3 Forward Contract as a Cash Flow Hedge20:21
- 1138 P4 Forward Contract for Speculative Purposes Only12:44
- 1140 C4 Forward Exchange Contract for Speculation Only24:42
- 1133 Purchases & Sales Involving Foreign Currency27:13
- 1138 P1 Forward Contract to Manage Foreign Currency Risk from Purchase19:24
- 1138 P2 Forward Contract to Hedge Commitment Agreement to Purchase24:08
- 1138 P3 Forward Contract as a Cash Flow Hedge20:33
- 1138 P4 Forward Contract for Speculative Purposes Only15:12
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