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Part 2 of Advanced Financial Management
Instructor: C A N RAJA
Language: English
Validity Period: Lifetime
Welcome to your course "Advanced Financial Management Part 2/3"
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
You will learn the following:
For effective listening, please use your headset. While watching lectures, please have a notepad and pen alongside, so that you can take notes of important points.
See you inside the course.
For more topics enroll part
https://courses.carajaclasses.com/s/store/courses/description/Advanced-Financial-Management-Part-13
https://courses.carajaclasses.com/s/store/courses/description/Advanced-Financial-Management-Part-33
Basics of Derivative Instruments (Professional Course Level) | |||
Derivatives background | |||
Derivatives background.mp4 | |||
Derivative Choices | |||
Derivative Choices.mp4 | |||
Derivative Contract | |||
Derivative Contract.mp4 | |||
Forward Contract | |||
Forward Contract.mp4 | |||
Futures Contract | |||
Future Contract.mp4 | |||
Features of Future Contract | |||
Features of Future Contract.mp4 | |||
Options Contract | |||
Options Contract.mp4 | |||
Evaluation of Financial Risk | |||
3860 | |||
Difference between Cash Market and Derivatives Market | |||
3861 | |||
Orders issued by Customers in Derivative Market | |||
3862 | |||
Risks associated with Derivatives | |||
3863 | |||
Introduction to Pricing the future | |||
3983 | |||
Continuous Compounding | |||
3984 | |||
Continuous Compounding - Simple Case Study 1 | |||
3991 | |||
Continuous Compounding - Simple Case Study 2 | |||
3992 | |||
Continuous Compounding - Simple Case Study 3 | |||
3995 | |||
Continuous Discount - Concept & Case Study | |||
3996 | |||
Equivalent Rate - Normal to Conitnuous Compounding - Concept & Case Study | |||
3997 | |||
Equivalent Rate - Conitnuous to Normal Compounding - Case Study | |||
3998 | |||
Portfolio Management -Quantitative Techniques | |||
Introduction to Portfolio Management | |||
1-Intro-to-PFM.mp4 | |||
Return Computation | |||
2-Return-Computation.mp4 | |||
Return Computation best method | |||
3-Return-Computatuion-best-method.mp4 | |||
Returns of Listed Securities | |||
4-Returns-of-Listed-Securities.mp4 | |||
Case Study Return Computation | |||
5-Case-Study-Return-Computatuion.mp4 | |||
Computation of Return using Probability | |||
6-Computatuion-of-Return-using-Probability.mp4 | |||
Risk in Investment | |||
7-Risk-in-Investment.mp4 | |||
CS Risk Computation | |||
8-CS-Risk-Computation.mp4 | |||
SD Computation steps | |||
9-SD-Computatuion-steps.mp4 | |||
Compute standard Deviation | |||
1719.mp4 | |||
Upside Risk | |||
1720.mp4 | |||
Risk free Security | |||
1732.mp4 | |||
What is Diversification? | |||
1733.mp4 | |||
Portfolio & Return | |||
1734.mp4 | |||
Risk of Portfolio | |||
1735.mp4 | |||
Covariance | |||
1736.mp4 | |||
Case study Covariance | |||
1737.mp4 | |||
Correlation Coefficient | |||
1738.mp4 | |||
How to measure risk in portfolio of Two securities | |||
1762.mp4 | |||
Reduction or Dilution of portfolio Risk through Diversification | |||
1763.mp4 | |||
Portfolio risk - Both securities are perfectly positively correlated | |||
1764.mp4 | |||
Portfolio Risk - Both securities perfectly negatively correlated | |||
1765.mp4 | |||
portfolio risk - uncorrelated securities | |||
1766.mp4 | |||
Portfolio with more than two securities | |||
1767.mp4 | |||
calculation of Return & Risk of portfolio with more than two securities | |||
1768.mp4 | |||
Markowits model of Risk Return optimization | |||
1799.mp4 | |||
Efficient Frontier | |||
1800.mp4 | |||
Uses of Efficient Frontier | |||
1835.mp4 | |||
Diversifiable and Non Diversifiable Risk | |||
1836.mp4 | |||
No. of Securities for an Optimum Portfolio | |||
1837.mp4 | |||
Capital Market Line | |||
1838.mp4 | |||
Options | |||
Introduction to Options | |||
3418 | |||
American Call Option | |||
3419 | |||
Value Call Option - Graph | |||
3420 | |||
Computation of Gain / Loss in Call Option | |||
3421 | |||
OptionBreak Even Point & Graph | |||
3422 | |||
Gain/Loss For Call Option | |||
Gain/Loss Graph For Call Writer | |||
3433 | |||
What is Put Option ? | |||
3434 | |||
Put Option Graph | |||
3435 | |||
Evalution of Material cost of Two Sources | |||
3436 | |||
In The Money At The Money, Out of The Money | |||
3463 | |||
In The Money At The Money, Out of The Money - Case Study1 | |||
3464 | |||
In The Money At The Money, Out of The Money - Case Study2 | |||
3465 | |||
Intrinsic Value & Time Value of Money of Option | |||
3466 | |||
Bond Valuation | |||
Valuation of Bond (Introduction) | |||
3497 | |||
Valuation of Bonds Related Terms | |||
3498 | |||
Basic Bond Valuation | |||
3499 | |||
Debt and Bonds | |||
1-Intro | |||
Terms associated with Bonds | |||
2-TERMS-WITH-BONDS | |||
Types of Bonds | |||
3-TYPES-OF-BONDS | |||
Optionality in Bonds | |||
4-OPTIONALITY-IN-BONDS | |||
Valuation of Bonds | |||
5-VALUATION-OF-BONDS | |||
Bonds With Semi Annual Interest | |||
6-BONDS-WITH-SEMI-ANNUAL-INTEREST | |||
Problem Bonds Semi Annual Interest | |||
7-CS-BONDS-SEMI-AI | |||
Current Yield | |||
8-CURRENT-YIELD | |||
Yield to Maturity | |||
9-YTM | |||
SECURITY ANALYSIS | |||
Introduction to Security Analysis | |||
3885 | |||
Fundamental Analysis | |||
3886 | |||
Economic Analysis | |||
3897 | |||
Industry Analysis - An Introduction | |||
3957 | |||
Factors affecting Industry Analysis | |||
3958 | |||
Techniques used in Industry Analysis | |||
3959 | |||
Company Analysis - Part 1 | |||
3960 | |||
Company Analysis - Part 2 | |||
3961 | |||
Techniques used in Company Analysis | |||
3962 | |||
Valuation | |||
Introduction to valuation and its concep | |||
583 CFA583 | |||
Need for Valuation | |||
584 CFA584 | |||
Bases for Valuation | |||
585 CFA585 | |||
Type of value in Valuation | |||
586 CFA586 | |||
Approaches of Valuation | |||
587 CFA587 | |||
Introduction to Valuation of Tangible Fixed Assets | |||
588 CFA588 | |||
Measurement at Cost | |||
589 CFA589 | |||
Subsequent Change in Original Cost | |||
590 CFA590 | |||
Valuation Approaches in case of Tangible Fixed Assets | |||
591 CFA591 | |||
Depreciation and its changes | |||
592 CFA592 | |||
Case 1 Preparation of Fixed Assets, Depreciation and Revaluation Reserve a/c | |||
605 CFA605 | |||
Case 2 Determination of Origial Cost of the Machine | |||
606 CFA606 | |||
Case 3 Calculation of Depreciation and taking credit of Deferred Grant | |||
607 CFA607 | |||
Definition of Intangibles | |||
593 CFA593 | |||
Recognition of Intangibles | |||
594 CFA594 | |||
Goodwill | |||
595 CFA595 | |||
Relevant Provisions of Accounting Standards on Goodwill | |||
596 CFA596 | |||
Valuation of Goodwill | |||
597 CFA597 | |||
Introduction to Valuation of Goodwill | |||
526 CFA526 | |||
factors affecting goodwill of Business | |||
527 CFA527 | |||
Methods of valuation of goodwill | |||
528 CFA528 | |||
Average Profits Method for Valuation of Good will | |||
529 CFA529 | |||
How to calculate Past Profit before Tax | |||
530 CFA530 | |||
Case Study to calculate Past Profit before Tax | |||
531 CFA531 | |||
How to Calculate Past Adjusted Profits before Tax | |||
532 CFA532 | |||
Case study to Calculate Past Adjusted Profits before Tax | |||
533 CFA533 | |||
How to Calculate Average Past Adjusted Profits before Tax | |||
534 CFA534 | |||
How to Calculate Future Maintainable Profits after Tax | |||
535 CFA535 | |||
Case Study on Future Maintainable Profits | |||
536 CFA536 | |||
Case study on Computation of Goodwill under Average Profits Method | |||
537 CFA537 | |||
Security Analysis | |||
Case Study: Computation of Price of Share | |||
4801 | |||
Case Study: Computation of Ex-right price of Shares and Value of Right | |||
4802 | |||
Case Study: Computation of Theoretical Post Rights Price, Value, effect on wealth | |||
4803 | |||
Case Study: Compuation of Price of Equity Shares | |||
4807 | |||
Case Study: Compuation of Present Value of Stock & determine stock overvalued? | |||
4808 | |||
Case Study: Computation of Cost of Equity (Part 1) | |||
4822 | |||
Case Study: Computation of Cost of Equity (Part 2) | |||
4823 | |||
Case Study: Computation of Value of Equity Share using Yiled on Equity Shares (Part 1) | |||
4824 | |||
Case Study: Computation of Value of Equity Share using Yiled on Equity Shares (Part 2) | |||
4825 | |||
Case Study: Stock overvalued / undervalued? | |||
4826 |
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