課程概述 |
This course provides an introduction to the principles of modern finance. Specifically, we will be discussing how a corporate manager can evaluate and finance prospective investments and projects. Also, we will talk about how to price various financial instruments, including stocks, bonds, derivatives, etc. The topics can be broadly divided into the following major areas. The first is called valuation. This part of the course involves learning the concepts and techniques necessary to evaluate the cash flow of projects. A sample of topics covered within this part of the course includes the time value of money, NPV, internal rate of return, stock prices, bond prices, etc. All of these concepts are used to evaluate the relevant projected cash flows of an investment. The second part of the course focuses on the relationship between risk and return. Sample topics include market efficiency, concepts of risk, diversification, portfolio theory, Capital Asset Pricing Model, and behavioral finance. The concepts we cover in risk and return will have critical implications for valuation. If time permits, we will go over the basics of financial derivatives. |