Corporate Finance Mastery: Risk, Valuation & Capital Strategy
Master Corporate Finance: From Risk & Valuation to Capital Structure & Real-World Strategy
4.0(6)
41 learners
What you'll learn
Analyze corporate decisions using the principles of shareholder wealth maximization and its alternatives.
Estimate the cost of capital for a firm using risk models, betas, and debt costs.
Evaluate investment projects and acquisitions using cash flow analysis and capital budgeting techniques.
Determine the optimal mix of debt and equity financing and design appropriate dividend policies.
This course includes
34.5 hours of video
Certificate of completion
Access on mobile and TV
Course content
1 modules
• 27 lessons
• 34.5 hours of video
Corporate Finance Mastery: Risk, Valuation & Capital Strategy
27 lessons
• 34.5 hours
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Corporate Finance: A Class Preview03:47
Session 1 (CF MBAs); Corporate Finance - The Big Picture01:22:14
Session 2 (CF MBAs): The End Game in Business01:22:09
Session 3: The Real World Strikes Back - Corporate Governance01:23:59
Session 4: Externalities, Alternative to Shareholder Wealth Maximization and the End Game01:25:50
Session 5: End Game Closure and First Steps on Risk01:23:55
Session 6: Risk - From Models to Inputs01:19:20
Session 7: Implied and Country Equity Risk Premiums01:27:07
Session 8: Betas and Beyond!01:22:05
Session 9: Beta Determinants and Bottom up Betas01:25:58
Session 10: Bottom up Betas - Private Businesses48:53
Session 11: Costs of Debt and Capital01:24:04
Session 12: Show me the money: First steps in Return Measurement01:26:10
Session 13: From Earnings to Time-weighted Incremental Cashflow Returns01:23:54
Session 14: Equity analysis, acquisitions as projects and NPV vs IRR01:24:56
Session 15: Costco Case Discussion & Beyond!01:22:40
Session 16: Options in Projects and Project Post-mortems46:25