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    Advanced Financial Management For Ca/Cma/Cfa/Acca/Cs/Mba

    Posted By: ELK1nG
    Advanced Financial Management For Ca/Cma/Cfa/Acca/Cs/Mba

    Advanced Financial Management For Ca/Cma/Cfa/Acca/Cs/Mba
    Last updated 11/2021
    MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz
    Language: English | Size: 12.40 GB | Duration: 44h 27m

    Expose yourself to advanced concepts in Financial Management & Prepare confidently for for CA / CS / CFA /CPA Exams

    What you'll learn
    Understand Mergers and Acquistions.
    Understand Advanced Capital Budgeting Techniques
    Understand Risk Analysis in Capital Budgeting
    Understand Sensitivity and Scenario Analysis in Capital Budgeting
    Understand Leasing
    Understand Dividend Decisions
    Understand Basics of Derivative Instruments
    Understand Portfolio Management - Quanitative Techniques
    Requirements
    Basic knowledge in Financial Management
    Basic Knowledge in Accounting
    Description
    Are you struggling in understanding advanced concepts in Financial Management like Capital Budgeting Techniques, Leasing, Mergers & Acquisitions, Portfolio Management, etc. Are you a student pursuing professional courses like CA / CMA / CS / CFA /CPA / ACCA / CIMA / MBA Finance or are you a Finance Professional / Banker aspiring to excel in Finance and rise to top in your career? Then this course is for you - Advanced Financial Management - A Comprehensive Study.By taking this course, you will be able to see practical side of advanced concepts in Financial Management with lot many case studies to solve. Approaching complex topics through case studies is the best way to understand them and you will find lot many in this course.In this course you will be exposed to the advanced concepts of Financial Management coveringa) Mergers and Acquisitions.b) Capital Market Instrumentsc) Advanced Capital Budgeting Techniques.d) Risk Analysis in Capital Budgetinge) Sensitivity and Scenario Analysis in Capital Budgetingf) Leasingg) Basics of Derivatives.h) Portfolio Management - Quantitative Techniques.i) Dividend Decisions.j) Start up Financek) Financial Markets and their regulationl) Mutual Fundsm) Venture Capitaln) Investment Bankingo) Credit Ratingp) Banking ManagementThis  course is structured in self paced learning style. Each and every section of this course is broken down as various micro lectures and then they are substantiated with examples and case studies. Several real world examples are used in this course through case studies. You'll gain authority on each and every topic as i take you through lectures one by one. This  course is presented in simple language with examples. This course has  video lectures (with writings on Black / Green Board / Note book / Talking head, etc).  You would feel you are attending a real class. You should have basic knowledge of Financial Management.You would require  good internet connection for interruption free learning process.At the end of the course, you will be able to solve above advanced concepts, case studies in Advanced  at ease with high level of confidence. This course will equip you for approaching above listed professional examinations with confidence.

    Overview

    Section 1: Advanced Capital Budgeting Techniques

    Lecture 1 What is Capital Expenditure

    Lecture 2 How to evaluate capital expenditure project?

    Lecture 3 Principles in Capital Budgeting

    Lecture 4 Cash Flow and After Tax Principle

    Lecture 5 Incremental Principle

    Lecture 6 Inflation adj principle

    Lecture 7 Long Term Fund Principle

    Lecture 8 Capital Budgeting Steps

    Lecture 9 Factors affecting Incremental Cash Flow

    Lecture 10 Cashflow computation Case Study

    Lecture 11 Case Study NPV

    Lecture 12 Case Study NPV

    Lecture 13 NPV Case Study

    Lecture 14 Case Study NPV Tax Benefit

    Lecture 15 NPV Case Study on Tax Savings 2

    Lecture 16 NPV Case Study on Tax Savings

    Lecture 17 Case Study NPV Tax Benefit

    Lecture 18 NPV using Incremental Discount Rate Case Study

    Lecture 19 NPV Case Study Opportunity Cost

    Lecture 20 Cost Reduction Projects (Introduction)

    Lecture 21 Case Study Cost Reduction Projects Hand out

    Lecture 22 Cash Flows - Point of View

    Lecture 23 Cash Flow Perspective

    Lecture 24 Case Study Point of View

    Lecture 25 Case Study Point of View

    Lecture 26 Project and Equity IRR

    Lecture 27 Abandonment Decision

    Lecture 28 Replacement Decision (Excel based)

    Lecture 29 Replacement Decision (Handwritten)

    Lecture 30 Aggregate Cash Flow Method (Excel based)

    Lecture 31 Incremental Cash Flow Method (Excel based)

    Lecture 32 Incremental Cash Flow Method (Hand written)

    Lecture 33 Replacement Analysis Case Study 1

    Lecture 34 Replacement Analysis Case Study2

    Lecture 35 Replacement Analysis Case Study3

    Lecture 36 Replacement Analysis Case Study 4

    Lecture 37 Equated Annual Benefit & Cost

    Lecture 38 Equivalent Annual Cost Case Study

    Lecture 39 NPV over Different Life

    Lecture 40 Limitations of Incremental Cash Flow Method

    Lecture 41 Money Cash Flow and Real Cash Flow (Excel Based)

    Lecture 42 Money and Real Cash Flows

    Lecture 43 Money Disc Rate and Real Disc Rate

    Lecture 44 Inflation and Multiple Cash Flow terms

    Lecture 45 Intersection of Money and Real terms with inflation

    Lecture 46 Money Cash Flow and Real Cash Flow Case Study 1

    Lecture 47 Money Cash Flow and Real Cash Flow Case Study 2

    Lecture 48 Money Cash Flow and Real Cash Flow Case Study 3

    Lecture 49 Money Cash Flow and Real Cash Flow Case Study 4

    Lecture 50 Present Value of Cash Flows from MCF and RCF

    Lecture 51 Issues with Inflation Rate 1

    Lecture 52 Issues with Inflation Rate 2 and Case Study

    Lecture 53 Practice Problem - Capital Budgeting: NPV Case Study 1

    Lecture 54 Practice Problem - Capital Budgeting: NPV Case Study 2

    Lecture 55 Capital Rationing Case Study

    Lecture 56 Practice Problem - Compute Selling Price through NPV Equation

    Section 2: Risk Analysis in Capital Budgeting

    Lecture 57 Risk and Uncertainity

    Lecture 58 Case Study - Risk and Uncertainity

    Lecture 59 Case Study Risk Uncertainity

    Lecture 60 Probability and PD

    Lecture 61 Expected Value

    Lecture 62 Case study EV

    Lecture 63 Standard Deviation

    Lecture 64 Steps in Computing Standard Deviation

    Lecture 65 SD in Decision Making

    Lecture 66 Case Study SD Decision Making

    Lecture 67 Risk Adjusted Discount Rate

    Lecture 68 Case Study RADR

    Lecture 69 Case Study 2 RADR

    Lecture 70 Certainity Equivalent Factor

    Lecture 71 Certainity Equivalent Factor Example

    Lecture 72 Case Study Certainity Equivalent Factor

    Lecture 73 Decision Tree Introduction

    Lecture 74 Stages and Rules

    Lecture 75 Evaluation rules

    Lecture 76 Case Study 1 Decision Tree

    Lecture 77 Case Study 2 Decision Tree

    Lecture 78 Decision Tree Comprehensive Case Study

    Lecture 79 Simulation Introduction

    Lecture 80 Simulation eg

    Lecture 81 Simulation steps

    Lecture 82 Case Study Simulation

    Lecture 83 Hilliers Model

    Lecture 84 Hillier Case Study part 1

    Lecture 85 Hillier Case Study part 2

    Lecture 86 Practice Problems Expeted NPV - Case Study ( Single Period )

    Lecture 87 practice problems Expeted NPV - Case Study ( Multiple Period)

    Lecture 88 Practice Problems NPV using RADR

    Lecture 89 Practice Problem - Decision Tree

    Lecture 90 Practice Problem - Simulation Case Study

    Lecture 91 Practice Problem - Simulation Case Study 2

    Lecture 92 Practice Problem - Computation of Probable NPV (Best Case & Worst Case)

    Lecture 93 Practice Problem - Computation of NPV using CE Factored Cashflows

    Lecture 94 Practice Problem - Computation of Risk Adjusted NPV

    Lecture 95 Practice Problem - Computation of RADR & NPV

    Lecture 96 Practice Problem - Real & Nominal Cashflows and project evaluation

    Section 3: Sensitivity and Scenario Analysis in Capital Budgeting

    Lecture 97 Sensitivity Analysis

    Lecture 98 Case Study Sensitivity Analysis

    Lecture 99 Comprehensive Case Study on Sensitivity Analysis

    Lecture 100 Scenario Analysis Introduction

    Lecture 101 Steps in Scenario Analysis

    Lecture 102 Case Study 1 - Scenario Analysis

    Lecture 103 Case Study 1 Scenario Analysis

    Lecture 104 Case Study 2 - Part 1 Scenario Analysis

    Lecture 105 Case Study 2 Part 1 Scenario Analysis

    Lecture 106 Case Study 2 part 2 Scenario Analysis

    Lecture 107 Practice Problem: Sensitivity Analysis 1

    Lecture 108 Practice Problem: Sensitivity Analysis 2

    Section 4: Basics of Derivative Instruments (Professional Course Level)

    Lecture 109 Derivatives background

    Lecture 110 Derivative Choices

    Lecture 111 Derivative Contract

    Lecture 112 Forward Contract

    Lecture 113 Futures Contract

    Lecture 114 Features of Future Contract

    Lecture 115 Options Contract

    Lecture 116 Evaluation of Financial Risk

    Lecture 117 Difference between Cash Market and Derivatives Market

    Lecture 118 Orders issued by Customers in Derivative Market

    Lecture 119 Risks associated with Derivatives

    Lecture 120 Introduction to Pricing the future

    Lecture 121 Continuous Compounding

    Lecture 122 Continuous Compounding - Simple Case Study 1

    Lecture 123 Continuous Compounding - Simple Case Study 2

    Lecture 124 Continuous Compounding - Simple Case Study 3

    Lecture 125 Continuous Discount - Concept & Case Study

    Lecture 126 Equivalent Rate - Normal to Conitnuous Compounding - Concept & Case Study

    Lecture 127 Equivalent Rate - Conitnuous to Normal Compounding - Case Study

    Section 5: Leasing

    Lecture 128 Introduction

    Lecture 129 Leasing Fundamentals

    Lecture 130 Leasing Mechanism

    Lecture 131 Leasing Edge

    Lecture 132 Evaluation of Lease

    Lecture 133 Lease Rental - Case Study 1

    Lecture 134 Lease Rental - Case Study 2

    Lecture 135 Lease Rental - Case Study 3

    Lecture 136 Lease Rental - Case Study 4

    Lecture 137 Determing Maximum Lease Rental Case Study 5

    Lecture 138 Indifference Point between Lease and Loan Case Study 6

    Lecture 139 Lease Evaluation Case Study 6

    Lecture 140 Weingartners Model

    Lecture 141 Bower Herringer Williamson Model Case Study 7

    Lecture 142 Bower Herringer Williamson Model

    Lecture 143 Sale and Lease Back Case Study 8

    Lecture 144 Difference between financial lease and operating lease

    Section 6: Basics of Forex Management

    Lecture 145 Introduction

    Lecture 146 Exchange Rate

    Lecture 147 Direct Quote

    Lecture 148 Indirect Quote

    Lecture 149 Link between Direct Quote and Indirect Quote

    Lecture 150 Examples for Direct Quote and Indirect Quote

    Lecture 151 Foreign Exchange Market

    Lecture 152 American Term and European Terms

    Lecture 153 Examples for Americal Term and European Term

    Lecture 154 Bid Rate and Ask Rate

    Lecture 155 Two Way Quote

    Lecture 156 Selecting Appropriate Rate

    Lecture 157 Spread

    Lecture 158 How to convert a Two Way Quote

    Lecture 159 Illustration to understand Two Way Quote

    Lecture 160 Cross Rate and Cross Multiplication

    Lecture 161 Illustration for Cross Rate and Cross Multiplication

    Lecture 162 Exchange Rate for a Day

    Lecture 163 What is Spot Rate

    Lecture 164 What is Forward Rate

    Lecture 165 What is Appreciation and Depreciation of Exchange Rate (Direct Quote)

    Lecture 166 What is Appreciation and Depreciation of Exchange Rate (Indirect Quote)

    Lecture 167 How to compute Appreciation and Depreciation of Exchange Rate

    Lecture 168 What are Swap Points?

    Lecture 169 Introduction to Forex Risks

    Lecture 170 Forex Risk Management

    Lecture 171 Types of Forex Risk

    Lecture 172 Transaction Risk

    Lecture 173 Translation Risk

    Lecture 174 Case Study Transaction Risk

    Lecture 175 Political Risk

    Lecture 176 Economic Risk

    Lecture 177 Introduction to Drivers of Forex Rate Part 1

    Lecture 178 Drivers of Forex Rate Part 2

    Lecture 179 Interest Rate Parity Theory

    Lecture 180 Case study 1 Interest Rate Parity Theory

    Lecture 181 Case study 2 Interest Rate Parity Theory

    Section 7: Portfolio Management -Quantitative Techniques

    Lecture 182 Introduction to Portfolio Management

    Lecture 183 Return Computation

    Lecture 184 Return Computation best method

    Lecture 185 Returns of Listed Securities

    Lecture 186 Case Study Return Computation

    Lecture 187 Computation of Return using Probability

    Lecture 188 Risk in Investment

    Lecture 189 CS Risk Computation

    Lecture 190 SD Computation steps

    Lecture 191 Compute standard Deviation

    Lecture 192 Upside Risk

    Lecture 193 Risk free Security

    Lecture 194 What is Diversification?

    Lecture 195 Portfolio & Return

    Lecture 196 Risk of Portfolio

    Lecture 197 Covariance

    Lecture 198 Case study Covariance

    Lecture 199 Correlation Coefficient

    Lecture 200 How to measure risk in portfolio of Two securities

    Lecture 201 Reduction or Dilution of portfolio Risk through Diversification

    Lecture 202 Portfolio risk - Both securities are perfectly positively correlated

    Lecture 203 Portfolio Risk - Both securities perfectly negatively correlated

    Lecture 204 portfolio risk - uncorrelated securities

    Lecture 205 Portfolio with more than two securities

    Lecture 206 calculation of Return & Risk of portfolio with more than two securities

    Lecture 207 Markowits model of Risk Return optimization

    Lecture 208 Efficient Frontier

    Lecture 209 Uses of Efficient Frontier

    Lecture 210 Diversifiable and Non Diversifiable Risk

    Lecture 211 No. of Securities for an Optimum Portfolio

    Lecture 212 Capital Market Line

    Section 8: Dividend Decision - A Comprehensive Study

    Lecture 213 Introduction to dividend

    Lecture 214 Case Study on Basic terms of dividend

    Lecture 215 Dividend Dates

    Lecture 216 Case Study Dividend Dates

    Lecture 217 Dividends and Market Price

    Lecture 218 Dividend Policy

    Lecture 219 Common Sense Approach

    Lecture 220 Dividend Models

    Lecture 221 Walter Model

    Lecture 222 Walter Model Case Study

    Lecture 223 Lintner model

    Lecture 224 Lintner model Case study

    Lecture 225 MM Model

    Lecture 226 MM Model Formula

    Lecture 227 Determinants of Dividend

    Lecture 228 Case Study: Compute Market Value of Share using Walters Model

    Lecture 229 Case Study: Compute Market Value of Share & Optimum Payout Ratio

    Lecture 230 Case Study: Optimum Divdend Policy (Part 1/2)

    Lecture 231 Case Study: Optimum Divdend Policy (Part 2/2)

    Section 9: Mergers and Acquistions

    Lecture 232 Introduction to Mergers and Acquisitons

    Lecture 233 What is Acquisition?

    Lecture 234 Why Merge?

    Lecture 235 Different Structures of Merger

    Lecture 236 Strategic benefits of Merger

    Lecture 237 Different Valuation Models

    Lecture 238 Asset based Valuation Model

    Lecture 239 Case Study Asset Based Valuation Model

    Lecture 240 Earnings based model

    Lecture 241 Case Study on Earnings Based Model

    Lecture 242 Bootstrapping

    Lecture 243 Case Study Bootstrapping

    Lecture 244 Case Study based on Return on Capital Employed

    Lecture 245 Dividend based Valuation

    Lecture 246 Dividend Valuation Case Study 1

    Lecture 247 Dividend Valuation Case Study 2

    Lecture 248 Dividend Valuation Case Study 3

    Lecture 249 Dividen Valuation CAPM Case Study 1

    Lecture 250 Free Cash Flow

    Lecture 251 Free Cash Flow Case Study

    Lecture 252 Cost of Merger Case Study

    Lecture 253 Outcomes in perfect market

    Lecture 254 Value of Firm using Free Cash Flows Case Study

    Lecture 255 Earnings Capitalisation Methods

    Lecture 256 Case Study Effect of Synergy

    Lecture 257 Case Study Chop Shop Approach

    Lecture 258 Business Acquistion Case Study

    Lecture 259 Computation of Exchange Ratio Case Study

    Section 10: Valuation

    Lecture 260 Introduction to valuation and its concept

    Lecture 261 Need for Valuation

    Lecture 262 Bases for Valuation

    Lecture 263 Type of value in Valuation

    Lecture 264 Approaches of Valuation

    Lecture 265 Introduction to Valuation of Tangible Fixed Assets

    Lecture 266 Measurement at Cost

    Lecture 267 Subsequent Change in Original Cost

    Lecture 268 Valuation Approaches in case of Tangible Fixed Assets

    Lecture 269 Depreciation and its changes

    Lecture 270 Case 1 Preparation of Fixed Assets, Depreciation and Revaluation Reserve a/c

    Lecture 271 Case 2 Determination of Origial Cost of the Machine

    Lecture 272 Case 3 Calculation of Depreciation and taking credit of Deferred Grant

    Lecture 273 Definition of Intangibles

    Lecture 274 Recognition of Intangibles

    Lecture 275 Goodwill

    Lecture 276 Relevant Provisions of Accounting Standards on Goodwill

    Lecture 277 Valuation of Goodwill

    Lecture 278 Introduction to Valuation of Goodwill

    Lecture 279 factors affecting goodwill of Business

    Lecture 280 Methods of valuation of goodwill

    Lecture 281 Average Profits Method for Valuation of Good will

    Lecture 282 How to calculate Past Profit before Tax

    Lecture 283 Case Study to calculate Past Profit before Tax

    Lecture 284 How to Calculate Past Adjusted Profits before Tax

    Lecture 285 Case study to Calculate Past Adjusted Profits before Tax

    Lecture 286 How to Calculate Average Past Adjusted Profits before Tax

    Lecture 287 How to Calculate Future Maintainable Profits after Tax

    Lecture 288 Case Study on Future Maintainable Profits

    Lecture 289 Case study on Computation of Goodwill under Average Profits Method

    Section 11: Start Up Finance

    Lecture 290 Introduction to Start Up Finance

    Lecture 291 Innovative ways to finance start ups

    Lecture 292 Sources to finance start ups part -1

    Lecture 293 Sources to finance start ups part -2

    Lecture 294 Pitch deck presentation

    Lecture 295 How to Approach Pitch Presentation Part-1

    Lecture 296 How to approach pitch presentation part-2

    Lecture 297 What is Bootstrapping?

    Lecture 298 Methods of Boot Strapping

    Section 12: Financial Markets and their Regulation

    Lecture 299 Introduction to Financial Markets

    Lecture 300 Money Market

    Lecture 301 Capital Market

    Lecture 302 Difference between Money Market and Capital Market

    Lecture 303 Significance of Money Market

    Lecture 304 Characteristics of Money Market

    Lecture 305 Introduction to Capital Markets

    Lecture 306 Primary Capital Market

    Lecture 307 Public Issue through Prospectus

    Lecture 308 Offer for Sale

    Lecture 309 Private Placement

    Lecture 310 Book Building

    Lecture 311 Rights Issue

    Lecture 312 Secondary Capital Market and its Nature

    Lecture 313 Functions of Stock Exchange

    Lecture 314 Importance of Stock Exchange

    Lecture 315 Stock Exchanges in India

    Lecture 316 What are Financial Markets?

    Section 13: Capital Market Instruments

    Lecture 317 Introduction

    Lecture 318 Preamble

    Lecture 319 Equity Shares and its features

    Lecture 320 Rights of Equity Share holders

    Lecture 321 Preference Shares

    Lecture 322 Cumulative Preference Shares

    Lecture 323 Non Cumulative Preference Shares

    Lecture 324 Convertible Preference Shares

    Lecture 325 Redeemable Preference Shares

    Lecture 326 Participating and Non Participating Preference Shares

    Lecture 327 Fully Convertible Cumulative Preference Shares

    Lecture 328 Debentures and its Features

    Lecture 329 Types of Debentures

    Lecture 330 Classification of Debentures

    Lecture 331 Convertible Debentures

    Lecture 332 Advantages of Convertible Debentures

    Lecture 333 Difference between Primary Market and Secondary Market

    Section 14: Mutual Funds

    Lecture 334 Introduction to Mutual Funds

    Lecture 335 Who can invest in Mutual Funds and How it works?

    Lecture 336 Should we invest in stocks or mutual funds?

    Lecture 337 Classification of Mutual funds

    Lecture 338 Open end,closed end & Interval schemes of mutual funds

    Lecture 339 Equity funds under portfolio Classification

    Lecture 340 Debt funds under portfolio classification

    Lecture 341 Special funds under Portfolio Classification

    Lecture 342 Money market mutual funds

    Lecture 343 Balanced Funds

    Lecture 344 Equity Diverisified Funds and Flexiap / Multicap Fund

    Lecture 345 Contra Fund and Index Fund

    Lecture 346 Dividend Yield Fund

    Lecture 347 Equity Linked Tax Savings Scheme

    Lecture 348 Thematic Funds

    Lecture 349 Arbitrage Funds

    Section 15: Venture Capital

    Lecture 350 Angel investors

    Lecture 351 Venture capital funds

    Lecture 352 concept of venture capital

    Lecture 353 Advantages of venture capital

    Lecture 354 Stages of Venture Capital Funds

    Lecture 355 Venture Capital Investment Process

    Lecture 356 Common Venture Capital Financing Methods

    Section 16: Investment Banking

    Lecture 357 Investment Banking Introduction

    Lecture 358 Corporate Finance

    Lecture 359 Sales

    Lecture 360 Trading

    Lecture 361 Research

    Lecture 362 Syndicate

    Section 17: Credit Rating

    Lecture 363 Credit Rating

    Lecture 364 Rating Services

    Lecture 365 Credit Rating Process

    Lecture 366 Business Risk

    Lecture 367 Financial Risk

    Section 18: Banking Management

    Lecture 368 Capital Adequacy Ratio

    Lecture 369 Basel:3-Norms

    Lecture 370 Characteristics of Basel -3

    Lecture 371 Composition of Capital Adequacy Ratio (CAR) Under Basel 3 Norms

    Section 19: Securities Market

    Lecture 372 Introduction to Securities Market

    Lecture 373 Participants in Financial Markets

    Lecture 374 Relationship between Primary Market and Secondary Market

    Lecture 375 What is Stock Exchange and its functions?

    Section 20: Options

    Lecture 376 Introduction to Options

    Lecture 377 American Call Option

    Lecture 378 Value Call Option - Graph

    Lecture 379 Computation of Gain / Loss in Call Option

    Lecture 380 OptionBreak Even Point & Graph

    Lecture 381 Gain/Loss For Call Option

    Lecture 382 Gain/Loss Graph For Call Writer

    Lecture 383 What is Put Option ?

    Lecture 384 Put Option Graph

    Lecture 385 Evalution of Material cost of Two Sources

    Lecture 386 In The Money At The Money, Out of The Money

    Lecture 387 In The Money At The Money, Out of The Money - Case Study2

    Lecture 388 Intrinsic Value & Time Value of Money of Option

    Lecture 389 In The Money At The Money, Out of The Money - Case Study1

    Lecture 390 In The Money At The Money, Out of The Money - Case Study2

    Section 21: Bond Valuation

    Lecture 391 Valuation of Bond (Introduction)

    Lecture 392 Valuation of Bonds Related Terms

    Lecture 393 Basic Bond Valuation

    Lecture 394 Debt and Bonds

    Lecture 395 Terms associated with Bonds

    Lecture 396 Types of Bonds

    Lecture 397 Optionality in Bonds

    Lecture 398 Valuation of Bonds

    Lecture 399 Bonds With Semi Annual Interest

    Lecture 400 Problem Bonds Semi Annual Interest

    Lecture 401 Current Yield

    Lecture 402 Yield to Maturity

    Section 22: Risk Management

    Lecture 403 Strategic Risk and Compliance Risk

    Lecture 404 Operational Risk

    Lecture 405 Financial Risk

    Section 23: SECURITIZATION

    Lecture 406 Introduction to Securitization

    Lecture 407 Features of Securitization

    Lecture 408 Primary Participants in Securitization Process

    Lecture 409 Security Participants in Securitization Process

    Section 24: SECURITY ANALYSIS

    Lecture 410 Introduction to Security Analysis

    Lecture 411 Fundamental Analysis

    Lecture 412 Economic Analysis

    Lecture 413 Industry Analysis - An Introduction

    Lecture 414 Factors affecting Industry Analysis

    Lecture 415 Company Analysis - Part 1

    Lecture 416 Company Analysis - Part 2

    Lecture 417 Techniques used in Company Analysis

    Lecture 418 Techniques used in Industry Analysis

    Lecture 419 Company Analysis - Part 1

    Lecture 420 Company Analysis - Part 2

    Lecture 421 Techniques used in Company Analysis

    Lecture 422 Case Study: Computation of Price of Share

    Lecture 423 Case Study: Computation of Ex-right price of Shares and Value of Right

    Lecture 424 Case Study: Computation of Theoretical Post Rights Price, Value, effect on wealt

    Lecture 425 Case Study: Compuation of Price of Equity Shares

    Lecture 426 Case Study: Compuation of Present Value of Stock & determine stock overvalued?

    Lecture 427 Case Study: Compute Market Value of Share using Walters Model

    Lecture 428 Case Study: Computation of Cost of Equity (Part 1)

    Lecture 429 Case Study: Computation of Cost of Equity (Part 2)

    Lecture 430 Case Study: Computation of Value of Equity Share using Yiled on Equity Shares (P

    Lecture 431 Case Study: Computation of Value of Equity Share using Yiled on Equity Shares (P

    Lecture 432 Case Study: Stock overvalued / undervalued?

    Section 25: FINAL SECTION

    Lecture 433 Bonus Lecture

    Professional Course students taking up courses like CA / CPA / CMA / CFA / CIMA / MBA Finance,Finance Professionals