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Instructor: CA N Raja
Language: English
Validity Period: 365 days
Validity Period: Lifetime
Welcome to this Course "UGC NET - Management - UNIT V"
In this course, you will learn about
1) Value & Returns – Time Preference for Money, Valuation of Bonds and Shares, Risk and Returns;
2) Capital Budgeting – Nature of Investment, Evaluation, Comparison of Methods; Risk and Uncertainly Analysis
3) Dividend – Theories and Determination
4) Mergers and Acquisition – Corporate Restructuring, Value Creation, Merger Negotiations, Leveraged Buyouts, Takeover
5) Portfolio Management – CAPM, APT
6) Derivatives – Options, Option Payoffs, Option Pricing, Forward Contracts & Future Contracts
7) Working Capital Management – Determinants, Cash, Inventory, Receivables and Payables Management, Factoring
8) International Financial Management, Foreign exchange market
See you inside the course!
Contents will be added
Chapter 1 Value & Returns - Time Preference for Money, Valuation of Bonds and Shares, Risk and Returns | |||
Introduction to Time Value of Money | |||
2897 | |||
Future Value of Single Cash Flow (Simple Interest & Compound Interest) | |||
2669 | |||
Case Studies Simple Interest (Talking Head) | |||
2671 | |||
Concepts Related To Time Value Of Money (Talking Head) | |||
2898 | |||
Compound Value and Interest (Talking Head) | |||
2899 | |||
Compound Intervals (Talking Head) | |||
6 FM6 | |||
Compound Value Formula at frequent intervals | |||
2900 | |||
Case Study 1 Quarterly Compounding (Talking Head) | |||
8 FM8 | |||
Case Study 2 Monthly Compounding (Talking Head) | |||
9 FM9 | |||
Case Study 3 Semi Annual Compounding (Talking Head) | |||
10 FM10 | |||
Case Study 4 Semi Annual Compounding (PPT Based) | |||
1108-P61-Problem-Compounding2 | |||
Rule 72 - Doubling Period | |||
2901-2 | |||
Future Value of Annuity - Formula | |||
2902-m2 | |||
Case 1 Future Value Annuity (Talking Head) | |||
13 FM13 | |||
Case 2 Future Value of Annuity (Talking Head) | |||
14 FM14 | |||
Present Value Formula | |||
2903 | |||
Case 1 Present Value (Talking Head) | |||
16 FM16 | |||
Case 2 Present Value (Talking Head) | |||
17 FM17 | |||
Present value of Annuity (Talking Head) | |||
18 FM18 | |||
case 1 Present value of Annuity (Talking Head) | |||
19 FM19 | |||
case 2 Present value of Annuity (Talking Head) | |||
20 FM20 | |||
case 3 Present value of Annuity (Talking Head) | |||
21 FM21 | |||
case 4 Present value of Annuity (Talking Head) | |||
22 FM22 | |||
case 5 Present value of Annuity (Talking Head) | |||
23 FM23 | |||
case 6 Present value and future value (Talking Head) | |||
24 FM24 | |||
case 7 Present value of Annuity (Talking Head) | |||
25 FM25 | |||
Present value of preptual cash flow (Talking Head) | |||
26 FM26 | |||
Case Study Present value of preptual cash flow (Talking Head) | |||
27 FM27 | |||
Present value of growing preptuity (Talking Head) | |||
28 FM28 | |||
Capital Adequacy Ratio | |||
2564 | |||
Basel:3-Norms | |||
2568 | |||
Characteristics of Basel -3 | |||
2569 | |||
Composition of Capital Adequacy Ratio (CAR) Under Basel 3 Norms | |||
2570 | |||
Introduction to Securities Market | |||
2975-2 | |||
Participants in Financial Markets | |||
2976 | |||
Relationship between Primary Market and Secondary Market | |||
2986 | |||
Chapter 2 Capital Budgeting - Nature of Investment, Evaluation, Comparison of Method; Risk and Uncertainly Analysis | |||
Capital Budgeting Tools - Taking Head | |||
capital Budgeting Tools | |||
Payback period - Talking Head | |||
Payback period | |||
Pay Back Reciprocal (Talking Head) | |||
111 FM111 | |||
PayBack Period Case Study 1 - Taking Head | |||
PayBack Period Cs1 | |||
PayBack Period Case Study 2 - Taking Head | |||
Payback Period Cs2 | |||
Accounting Rate of Return (Talking Head) | |||
112 FM112 | |||
Accounting Rate of Return (PPT Based) | |||
2808 123 Accounting Rate of Return | |||
Capital Budgeting Techniques (PPT Based) | |||
2808 122 Capital Budgeting Techniques | |||
Pay Back Period Introduction (PPT Based) | |||
2808 122 Payback Period | |||
Pay Back Period Example (PPT Based) | |||
0208 Pay Back Period Example | |||
Problem on Pay Back Period (PPT Based) | |||
2808 122 Problem 3 Payback Period | |||
Payback Reciprocal (PPT Based) | |||
2808 122 Payback Reciprocal | |||
Practice Problems Accounting Rate of Return Case Study | |||
3543 | |||
What is Capital Expenditure | |||
2908 | |||
How to evaluate capital expenditure project? | |||
2951 | |||
Principles in Capital Budgeting | |||
3-Principles-in-Capital-Budgeting | |||
Cash Flow and After Tax Principle | |||
4-Cash-Flow-and-After-tax-principle | |||
Incremental Principle | |||
5-Incremental-Principle | |||
Inflation adj principle | |||
7-Inflation-adj-principle | |||
Long Term Fund Principle | |||
8-Long-Term-Fund-Principle | |||
Capital Budgeting Steps | |||
9-Capital-Budgeting-Steps | |||
Factors affecting Incremental Cash Flow | |||
6-Factors-affecting-Incremental-Cash-Flow | |||
Cashflow computation Case Study | |||
Cashflow-computation | |||
Case Study NPV | |||
10-Case-Study-NPV | |||
NPV Case Study | |||
NPVCS | |||
NPV Case Study on Tax Savings 2 | |||
NPV-CS-Tax-Savings | |||
NPV Case Study on Tax Savings | |||
NPV-CS-Tax-Savings(1) | |||
Case Study NPV Tax Benefit | |||
11-Case-Study-NPV-Tax-Benefit | |||
NPV using Incremental Discount Rate Case Study | |||
NPV-Incremental-Disc-Rate-CS | |||
NPV Case Study Opportunity Cost | |||
NPV-CS-opportunity-Cost | |||
Cost Reduction Projects (Introduction) | |||
12-Cost-Reduction-Projects | |||
Cash Flows - Point of View | |||
14-Cash-Flows-Point-of-View | |||
Cash Flow Perspective | |||
Cash-Flow-Perspecture | |||
Case Study Point of View | |||
15-Case-Study-Point-of-View | |||
Project and Equity IRR | |||
Project-and-Equity-IRR | |||
Abandonment Decision | |||
Abandonment-Decision | |||
Replacement Decision (Excel based) | |||
Replacement-Decision | |||
Replacement Decision (Handwritten) | |||
17-Replacement-Decision | |||
Aggregate Cash Flow Method (Excel based) | |||
Aggregate-Cash-Flow-Method | |||
Incremental Cash Flow Method (Excel based) | |||
Incremental-Cash-Flow-Method | |||
Incremental Cash Flow Method (Hand written) | |||
19-Incremental-Cash-Flow-Method | |||
Replacement Analysis Case Study 1 | |||
RACS | |||
Replacement Analysis Case Study2 | |||
RACS2 | |||
Replacement Analysis Case Study3 | |||
RACS3 | |||
Replacement Analysis Case Study 4 | |||
RACS4 | |||
Equated Annual Benefit & Cost | |||
18-Equated-Annual-Benefit-and-Cost | |||
Equivalent Annual Cost Case Study | |||
Equivalent-Annual-Cost-CS | |||
NPV over Different Life | |||
Limitations of Incremental Cash Flow Method | |||
20-Limitations-of-Incremental-Cash-Flow-Method | |||
Money Cash Flow and Real Cash Flow (Excel Based) | |||
MCFRCF | |||
Money and Real Cash Flows | |||
21-Money-and-Real-Cash-Flows | |||
Money Disc Rate and Real Disc Rate | |||
22-Money-Disc-Rate-and-Real-Disc-Rate | |||
Inflation and Multiple Cash Flow terms | |||
23-Inflation-and-Multiple-Cash-Flow-terms | |||
Intersection of Money and Real terms with inflation | |||
24-Intersection-of-Money-and-Real-terms-with-inflation | |||
Money Cash Flow and Real Cash Flow Case Study 1 | |||
MCFRCFCS1 | |||
Money Cash Flow and Real Cash Flow Case Study 2 | |||
MCFRCFCS2 | |||
Money Cash Flow and Real Cash Flow Case Study 3 | |||
MCFRCFCS3 | |||
Money Cash Flow and Real Cash Flow Case Study 4 | |||
MCFRCFCS4 | |||
Present Value of Cash Flows from MCF and RCF | |||
PVOFMCFRCF | |||
Issues with Inflation Rate 1 | |||
IWIR1 | |||
Issues with Inflation Rate 2 and Case Study | |||
IWIR2ACS | |||
Practice Problem - Capital Budgeting: NPV Case Study 1 | |||
3993 | |||
Practice Problem - Capital Budgeting: NPV Case Study 2 | |||
3994 | |||
Capital Rationing Case Study | |||
4058 | |||
Practice Problem - Compute Selling Price through NPV Equation | |||
4109 | |||
Risk and Uncertainity | |||
2504 | |||
Case Study Risk Uncertainity | |||
2 Case Study Risk Uncertainity | |||
Probability and PD | |||
2505 | |||
Expected Value | |||
2506 | |||
Case study EV | |||
5 Case study EV | |||
Standard Deviation | |||
6 Standard Deviation | |||
Steps in Computing Standard Deviation | |||
7 Steps in SD | |||
SD in Decision Making | |||
10 SD in Decision Making | |||
Case Study SD Decision Making | |||
11 Case Stdy SD Decision Making | |||
Risk Adjusted Discount Rate | |||
12 Risk Adjusted Discount Rate | |||
Case Study RADR | |||
13 Case Study RADR | |||
Case Study 2 RADR | |||
14 Case Study 2 RADR | |||
Certainity Equivalent Factor | |||
15 Certainity Equivalent Factor | |||
Certainity Equivalent Factor Example | |||
16 CEF Example | |||
Case Study Certainity Equivalent Factor | |||
17 Case Study CEF | |||
Decision Tree Introduction | |||
1 Introduction | |||
Stages and Rules | |||
2 Stages and Rules | |||
Evaluation rules | |||
3 Evaluation rules | |||
Case Study 1 Decision Tree | |||
4 Case Study 1 Decision Tree | |||
Case Study 2 Decision Tree | |||
5 Case Study 2 Decision Tree | |||
Decision Tree Comprehensive Case Study | |||
DTCS | |||
Simulation Introduction | |||
6 Simulation Introduction | |||
Simulation eg | |||
7 Simulation eg | |||
Simulation steps | |||
8 Simulation steps | |||
Case Study Simulation | |||
9 Case Study Simulation | |||
Hilliers Model | |||
10 Hilliers Model | |||
Hillier Case Study part 1 | |||
11 Hillier Case Study part 1 | |||
Hillier Case Study part 2 | |||
12 Hillier Case Study part 1 | |||
Practice Problems Expeted NPV - Case Study ( Single Period ) | |||
3461 | |||
practice problems Expeted NPV - Case Study ( Multiple Period) | |||
3462 | |||
Practice Problems NPV using RADR | |||
3541 | |||
Practice Problem - Decision Tree | |||
4110 | |||
Practice Problem - Simulation Case Study | |||
4178 | |||
Practice Problem - Simulation Case Study 2 | |||
4179 | |||
Sensitivity Analysis | |||
18 Sensitivity Analysis | |||
Case Study Sensitivity Analysis | |||
19 Case Study Sensitivity Analysis | |||
Comprehensive Case Study on Sensitivity Analysis | |||
20 Comprehensive CS Sensitivity Analysis | |||
Chapter 3 Dividend - Theories and Determination | |||
What is Diversification? | |||
1733 | |||
Portfolio & Return | |||
1734 | |||
Risk of Portfolio | |||
1735 | |||
Covariance | |||
1736 | |||
Case study Covariance | |||
1737 | |||
Correlation Coefficient | |||
1738 | |||
How to measure risk in portfolio of Two securities | |||
1762 | |||
Reduction or Dilution of portfolio Risk through Diversification | |||
1763 | |||
Portfolio risk - Both securities are perfectly positively correlated | |||
1764 | |||
Portfolio Risk - Both securities perfectly negatively correlated | |||
1765 | |||
portfolio risk - uncorrelated securities | |||
1766 | |||
Portfolio with more than two securities | |||
1767 | |||
calculation of Return & Risk of portfolio with more than two securities | |||
1768 | |||
Chapter 4 Mergers and Acquisitions - Corporate Restructuring, Value Creation, Merger Negotiations, Leveraged Buyouts, Takeover | |||
Markowits model of Risk Return optimization | |||
1799 | |||
Efficient Frontier | |||
1800 | |||
Uses of Efficient Frontier | |||
1835 | |||
Diversifiable and Non Diversifiable Risk | |||
1836 | |||
No. of Securities for an Optimum Portfolio | |||
1837 | |||
Capital Market Line | |||
1838 | |||
Introduction to dividend | |||
2511 | |||
Case Study on Basic terms of dividend | |||
2 CS Basic terms of dividend | |||
Dividend Dates | |||
2512 | |||
Case Study Dividend Dates | |||
5 CS Dividend Dates | |||
Dividends and Market Price | |||
6 Dividends and Market Share | |||
Dividend Policy | |||
3 Dividend Policy | |||
Common Sense Approach | |||
7-Common-Sense-Approach | |||
Dividend Models | |||
8-Dividend-Models | |||
Walter Model | |||
9-Walter-Model | |||
Walter Model Case Study | |||
10-Walter-Model-CS-1 | |||
Lintner model | |||
11-Lintner-model | |||
Lintner model Case study | |||
12-Lintner-model-Case-study | |||
MM Model | |||
13-MM-Model | |||
MM Model Formula | |||
15-MM-Model-Formula | |||
Determinants of Dividend | |||
3542 | |||
Introduction to Mergers and Acquisitons | |||
2973 | |||
What is Acquisition? | |||
2974 | |||
Why Merge? | |||
2 Why Merge | |||
Different Structures of Merger | |||
3 Different structures of Merger | |||
Strategic benefits of Merger | |||
4-Strategic-Benefits-of-Merger | |||
Different Valuation Models | |||
5-Valuation-Models | |||
Asset based Valuation Model | |||
6-Asset-Based-Valuation-Model | |||
Chapter 5 Portfolio Management - CAPM, APT | |||
Illustration for Cross Rate and Cross Multiplication | |||
17-Illustration-for-Cross-Rate-and-Cross-Multiplication | |||
Exchange Rate for a Day | |||
18-Exchange-Rate-for-a-day | |||
What is Spot Rate | |||
19-What-is-Spot-Rate | |||
What is Forward Rate | |||
20-What-is-Forward-Rate | |||
What is Appreciation and Depreciation of Exchange Rate (Direct Quote) | |||
21-What-is-Appreciation-and-Depreciation-in-Direct-Quote | |||
What is Appreciation and Depreciation of Exchange Rate (Indirect Quote) | |||
22-What-is-Appreciation-and-Depreciation-in-Indirect-Quote | |||
How to compute Appreciation and Depreciation of Exchange Rate | |||
23-How-to-compute-Appreciation-and-Depreciation-in-Forex-Rate | |||
What are Swap Points? | |||
24-What-are-Swap-Points | |||
Introduction to Forex Risks | |||
1-Intro (1) | |||
Forex Risk Management | |||
2-frm | |||
Types of Forex Risk | |||
3-types-of-forex-risk | |||
Transaction Risk | |||
4-transaction-risk | |||
Translation Risk | |||
5-translation-risk | |||
Case Study Transaction Risk | |||
Case-Study-Transaction-Risk | |||
Political Risk | |||
7-Political-Risk | |||
Economic Risk | |||
6-Economic-risk | |||
Introduction to Drivers of Forex Rate Part 1 | |||
1-Drivers-of-Forex-Rate-Part-1 | |||
Drivers of Forex Rate Part 2 | |||
2-Drivers-of-Forex-Rate-Part-2 | |||
Interest Rate Parity Theory | |||
3-IRPT | |||
Case study 1 Interest Rate Parity Theory | |||
4-IRPT-Case-study-1 | |||
Case study 2 Interest Rate Parity Theory | |||
5-IRPT-Case-study-2 | |||
Introduction to Portfolio Management | |||
1-Intro-to-PFM | |||
Return Computation | |||
2-Return-Computation | |||
Return Computation best method | |||
3-Return-Computatuion-best-method | |||
Returns of Listed Securities | |||
4-Returns-of-Listed-Securities | |||
Case Study Return Computation | |||
5-Case-Study-Return-Computatuion | |||
Computation of Return using Probability | |||
6-Computatuion-of-Return-using-Probability | |||
Risk in Investment | |||
7-Risk-in-Investment | |||
CS Risk Computation | |||
8-CS-Risk-Computation | |||
SD Computation steps | |||
9-SD-Computatuion-steps | |||
Compute standard Deviation | |||
1719 | |||
Chapter 6 Derivatives - Options, Option Payoffs, Option Pricing, Forward Contracts & Future Contracts | |||
Scenario Analysis Introduction | |||
intoduction | |||
Steps in Scenario Analysis | |||
2-steps-in-scenario-analysis | |||
Case Study 1 Scenario Analysis | |||
3-case-study-1-scenario-analysis | |||
Case Study 2 Part 1 Scenario Analysis | |||
4-cs-2-part-1 | |||
Case Study 2 part 2 Scenario Analysis | |||
5-cs-2-part-2 | |||
Advantages of venture capital | |||
2517 | |||
Stages of Venture Capital Funds | |||
2518 | |||
Venture Capital Investment Process | |||
2519 | |||
Investment Banking Introduction | |||
2543 | |||
Corporate Finance | |||
2544 | |||
Sales | |||
2545 | |||
Trading | |||
2546 | |||
Research | |||
2547 | |||
Syndicate | |||
2548 | |||
Credit Rating | |||
2549 | |||
Rating Services | |||
2550 | |||
Credit Rating Process | |||
2551 | |||
Participants in Financial Markets | |||
2976 | |||
Relationship between Primary Market and Secondary Market | |||
2986 | |||
What is Stock Exchange and its functions? | |||
2987 | |||
Chapter 7 Working Capital Management - Determinants, Cash, Inventory, Receivables and Payables Management, Factoring | |||
Introduction to Working Capital Management (Talking Head) | |||
149 FM149 | |||
Working Capital Introduction (Talking Head) | |||
150 FM150 | |||
Importance of Adequate Working Capital (Talking Head) | |||
151 FM151 | |||
Optimum Working capital (Talking Head) | |||
152 FM152 | |||
Current Asset to Fixed Asset Ratio (Talking Head) | |||
153 FM153 | |||
Case 1 Current Asset to Fixed Asset Ratio (Talking Head) | |||
154 FM154 | |||
Working Capital Cycle (Talking Head) | |||
155 FM155 | |||
Holding Period Computation (Talking Head) | |||
156 FM156 | |||
Case 2 Working Capital Cycle (Talking Head) | |||
157 FM157 | |||
Double Shift Working And Its Impact on Working Capital (Talking Head) | |||
158 FM158 | |||
Case 3 Double Shift Working And Its Impact on Working Capital (Talking Head) | |||
159 fm159 | |||
Introduction to Working Capital Management | |||
2408 99 Introduction to Working Capital Management | |||
Optimum Working Capital | |||
2408 99 Optimum Working Capital | |||
Current Assets to Fixed Asset Ratio and Liquidity Vs Profitability | |||
CA FA Ratio | |||
Example for Liquidity Vs Profitability | |||
2408 100 Example for Liquidity Vs Profitability | |||
Working Capital Cycle Introduction | |||
2408 101 Working Capital Cycle Introduction | |||
Holding Period Computation | |||
2408 101 Holding Period Computation | |||
Case 2 on Estimation of Working Capital | |||
Estimation Working Capital | |||
Case 3 on Estimation of Working Capital on Cash Cost Basis | |||
2608 111 Problem 3 on Working Capital | |||
Case 4 on Working Capital estimation on cash cost basis | |||
2608 112 Problem 4 on Working Capital | |||
Case Study 8 on Working Capital | |||
Problem Working-Capital | |||
Case Study 9 on Estimation of Working Capital | |||
Problem-4 Working-Capital | |||
Case Study 10 on Estimation of Working Capital | |||
3008 135 Problem 12 on Working Capital | |||
Case Study 11 Estimation of Working Capital | |||
Problem-3 Working-Capital | |||
Treasury and Cash Management | |||
3008 137 Treasury and Cash Management | |||
Management of Cash Collection and Disbursements | |||
Managing Cash Collection Disbursements | |||
Different Kinds of Float | |||
0109 144 Different kinds of float | |||
Lock Box System | |||
0109 144 Lock Box System | |||
Miller Orr Cash Management Model 1966 | |||
0109 145 Miller Orr Cash Management Model 1966 | |||
Opitmum Cash Balance | |||
0109 146 Optimum Cash Balance | |||
Management of Marketable Securities | |||
0209 147 Management of Marketable Securities | |||
Management of Payables | |||
0609 155 Management of Payables | |||
Management of Receivables | |||
0309 149 Management of Receivables | |||
Monitoring of Receivables | |||
0609 156 Monitoring of Receivables | |||
Innovations in Receivable Management | |||
0309 151 Innovations in Receivables Management | |||
Case Study 12 Credit Period Extension | |||
1-CSCPE | |||
Case Study 13 Evaluation of Credit Policy | |||
2-CSECP | |||
Case Study 18 Debtors Funding option | |||
4-CSDFO | |||
Pledging and Factoring | |||
0209 150 Pleding and Factoring | |||
Case Study 14 on Factoring | |||
0209 150 Problem 16 Factoring | |||
Case Study 15 on Extension of Credit Period | |||
0609 156 Problem 26 Extension of Credit Period | |||
Case Study 16 on Seleciton of Credit Option | |||
0609 156 Problem 27 Selection of Credit Option | |||
Case Study 17 on Interpretation on Credit Period | |||
0609 156 Problem 28 Intepretation on Credit Period | |||
Case Study 19 Bank Loan against Receivable | |||
3-CSBLAR | |||
Case Study 20 on Inventory Management | |||
0209 148 Problem 17 Inventory Management | |||
Cash Management and Types of Budgets | |||
Cash-Management Types Budgets | |||
Case Study 21 on Cleared Funds Forecast | |||
0109 145 Problem 14 Cleared Funds Forecast | |||
Case Study 22 on Cash cycle and savings | |||
0209 147 Problem 15 Cash Cycle and Savings | |||
Format of Cash Budget | |||
0209-139-Format-of-Cash-Budget | |||
Case Study 23 on Detailed Cash Budget | |||
0209 139 Problem 20 Detailed Cash Budget | |||
Case Study 25 on Detailed Cash Budget | |||
0209 141 Problem 21 Detailed Cash Budget | |||
Case Study 26 on Cash Budget and Projected Profit and Loss Account | |||
0209-143-Problem-22-Projected-Profit-and-Loss-Account | |||
Case Study 27 on Cash Budget and Fund Flow Statement | |||
Cash-Budget-and-Fund-Flow-Statement | |||
Case Study 28 on Cash Budget Additional Borrowings and Proforma Balance Sheet | |||
Cash-Budget-Additional-Borrowings-and-Proforma-Balance-Sheet | |||
Debtors Ageing Schedule | |||
2938 | |||
Difference between Factoring and Bill Discounting | |||
2940 | |||
Credit Period Decision for New Customer Case Study | |||
3417 | |||
Chapter 8 International Financial Management, Foreign Exchange Market | |||
Leasing Mechanism | |||
3-Leasing-Mechanism | |||
Leasing Edge | |||
4-Leasing-Edge | |||
Evaluation of Lease | |||
5-Evaluation-of-Lease | |||
Lease Rental - Case Study 1 | |||
9-Finding-LR | |||
Lease Rental - Case Study 2 | |||
10-LR-CS-2 | |||
Lease Rental - Case Study 3 | |||
11-LR-CS-3 | |||
Lease Rental - Case Study 4 | |||
12-LR-CS-4 | |||
Determing Maximum Lease Rental Case Study 5 | |||
CS5 | |||
Indifference Point between Lease and Loan Case Study 6 | |||
CS6 | |||
Lease Evaluation Case Study 6 | |||
14 LRCS6 | |||
Weingartners Model | |||
15 WGM | |||
Bower Herringer Williamson Model Case Study 7 | |||
17 BHWMCS7 | |||
Bower Herringer Williamson Model | |||
16 BHWM | |||
Sale and Lease Back Case Study 8 | |||
18 SALBCS8 | |||
Difference between financial lease and operating lease | |||
2921 | |||
Introduction | |||
introduction1 | |||
Exchange Rate | |||
2508 | |||
Direct Quote | |||
2509 | |||
Indirect Quote | |||
2510 | |||
Link between Direct Quote and Indirect Quote | |||
5-Link-between-Direct-Quote-and-Indirect-Quote | |||
Examples for Direct Quote and Indirect Quote | |||
6-Examples-for-Direct-Quote-and-Indirect-Quote | |||
Foreign Exchange Market | |||
7-Foreign-Exchange-Market | |||
American Term and European Terms | |||
8-American-Term-and-European-Terms | |||
Examples for Americal Term and European Term | |||
9-Examples-for-Americal-Term-and-European-Term | |||
Bid Rate and Ask Rate | |||
10-Bid-Rate-and-Ask-Rate | |||
Two Way Quote | |||
11-Two-Way-Quote | |||
Selecting Appropriate Rate | |||
12-Selecting-Appropriate-Rate | |||
Spread | |||
13-Spread | |||
How to convert a Two Way Quote | |||
How-to-convert-Two-Way-Quote | |||
Illustration to understand Two Way Quote | |||
15-Illustration-to-understand-Two-Way-Quote | |||
Cross Rate and Cross Multiplication | |||
16-Cross-Rate-and-Cross-Multiplication |
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