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Finance
1, 2 & 3 + Workbook- Standard Deviants |
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Recommended by teachers and professors across the
country, the Standard Deviants approach to teaching is anything but
standard. By simplifying complex subjects and presenting the
material with humorous skits, computer graphics and a fun,
approachable format, the Standard Deviants make even the most
difficult subjects enjoyable! |
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The Wild and Wacky World of Finance, Part 1 |
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| Finance in the
marketplace |
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| Sole proprietorships |
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| Double taxation |
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| Earnings per share |
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| Agency problems |
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| Mortgage markets |
| the annual report |
| Real rate |
| Risk premium |
| the value of money |
| Future value of an
annuity |
| the annuity due |
| Opportunity cost rate |
| Present value of an
annuity due |
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| Nominal rate |
| Compounding, the
master formula |
| Rate of return |
| Role of the
financial manager |
| General and limited
partnerships |
| Goal of the
financial manager |
| Dividend policy |
| Primary/secondary
markets |
| Financial assets
markets |
| Income statement |
| Inflation premium |
| Term structure of
interest |
| Rates |
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| Future value |
| Annuities |
| Present value |
| Present value of
an annuity |
| Perpetuities |
| APR |
| Risk |
| Standard
deviation |
| Types of
businesses |
| Maximizing
stockholder |
| Wealth |
| Corporate
structure |
| Credit markets |
| the t-account |
| Interest rates
and yield |
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Curves |
| Treasury
securities |
| Yield curve |
| Compounding |
| Annuities with
FVIFA |
| PVIF |
| PVIFA |
| Interest rates |
| EAR |
| Probability |
| Coefficient of
variation |
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The Wild and Wacky World of Finance, Part 2 |
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| CAPM |
| Portfolios |
| Portfolio effect |
| Beta |
| Using CAPM for required rate of return |
| Using the SML |
| Coupon rate |
| Bond present rate |
| Yield to maturity |
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| Bond valuation |
| Preferred stock |
| Differential or supernormal growth
stock |
| Constant growth stock |
| Discount bonds |
| Diversification |
| Correlation coefficient |
| Market risk |
| Stock valuation |
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| the security market line |
| Coupon payment |
| Maturity date |
| Current yield |
| Gordon Growth Model |
| Beta of a portfolio |
| Constructing the SML |
| Expected rate of return on a
portfolio |
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The Wild and Wacky World of Finance, Part 3 |
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| Capital structure |
| Weighted average cost of capital |
| Bond-yield-plus-risk-premium |
| Calculating the weighted average cost of
capital |
| Different kinds of projects |
| Replacement projects |
| Discounts payback |
| Internal Rate of Rate (IRR) |
| Cash flows |
| New equipment |
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| the cost of debt |
| Cost of retained earnings |
| Net disposal cash flow |
| Discounted cash flows |
| the marginal cost of capital |
| Mandatory projects |
| Capital budgeting decision methods |
| Net present value |
| Modified Internal Rate of Return (MIRR) |
| Incremental cash flows |
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| Net working capital |
| Salvage value |
| the cost of new common stock |
| the basics of capital budgeting |
| Expansion projects |
| Payback |
| Profitability index |
| Capital budgeting with certainty |
| Net investment cash outlay |
| Operating cash flows |
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Finance Study Sidekick - WORKBOOK |
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