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Financial Management-Risk and Return For Securities
Financial Management-Risk and Return For Securities
MP4 | Video: AVC 1280x720 | Audio: AAC 44KHz 2ch | Duration: 1.5 Hours | 277 MB

Learn the concepts for the essence of Finance that are risk and return for stocks and also practice them on Excel.
This course is about the essence of Financial Management that is Risk and Return of Securities/Stocks. This is for everyone who wants a firm grip over the concepts related to the risk and return for the stocks and then comparing the real worth of their stocks with the market price.
This course includes mainly 8 sections and 19 lectures. The important concepts taught in the course are highlighted below.
The meaning of risk and return in a stock
Probability Distributions
Discrete/Continuous Distributions
Portfolio Analysis
Expected Return
Standard Deviation
Coefficient of Variance
Types of Risk- Systematic and Unsystematic
Security Market Line
Intrinsic Value of a Stock
The last section includes Notes, Practice Questions and Excel Practice Exercises
The above mentioned concepts are taught in a sequence by solving questions related to every topic in detail and then practicing each one of them on Excel as well.
The real benefit for students is to get the comprehensive knowledge in just one course and master the concepts related to stocks' risk and return and then evaluation of the importance for portfolio investments. Students can get the benefit of practicing the formulas on Excel as well.
So just grab the opportunity and get enrolled to make your knowledge up to date and firm about the concepts of Risk and Return of Stocks!

Financial Management-Risk and Return For Securities

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Tags: Financial, Management, Return, Securities

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