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Advanced Financial Management コース
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はじめに
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Introduction & Exam preparation
Introduction (7:21)
Professional Marks (10:09)
Finance Manager's Responsibilities
Role and Responsibility of Financial Manager (18:41)
Ratios and Trends (18:39)
The Optimum Capital Structure (12:30)
Distribution and Retention Policy (15:07)
The Rationale for Risk Management (10:31)
Behavioural Finance (20:49)
Risks of International Operation (14:32)
Strategic Issues at Multinationals (9:53)
Agency Problems and Corporate Governance (16:59)
Management Appraisal and Integrated Reporting (7:38)
Ethics (7:07)
Environmental Impact (5:05)
Basic of Financial Markets
Free Trade Theory and Practice (16:00)
Trade Agreements and Organisations (10:48)
Financial Markets in International Trade (13:27)
Sources of Finance (14:46)
Cryptocurrency and Initial Coin Offerings (2:05)
Islamic Finance (8:18)
The Dividend Policy (15:16)
Transfer Pricing (19:32)
Investment Appraisals
Discounted Free Cash Flow to the Investment Appraisal (9:42)
The Impact of Inflation on FCF (12:04)
The Impact of Tax on FCF (10:05)
IRR - Internal Rate of Return (13:20)
Sensitivity Analysis (5:48)
Project Duration (9:09)
Monte Carlo Simulation (4:08)
Capital Rationing (10:59)
Option
Introduction to Options (11:24)
Option Value Sensitivity (9:39)
Black and Scholes formula (13:45)
Option Valuation by Black-Scholes Model (13:00)
Option “Greeks” (12:55)
Real Options (9:38)
Valuation of real options (23:57)
Valuation
Methods of Equity Valuation (7:47)
WACC and the Cost of Equity (49:43)
Calculating Free Cash Flow (21:28)
Dividend Valuation Model (10:53)
Market Based Valuation (12:55)
Asset Based Valuation (10:33)
Option Pricing Model of Equity Valuation (12:52)
The Cost of Debt (16:50)
Credit Risk of Debt (10:19)
Duration of Debt (15:28)
Valuation of Debt (9:41)
The Impact of Financing Structure (19:12)
Application of WACC to investment appraisal (12:12)
Adjusted Present Value (19:57)
Foreign Investments
Appraisal of Foreign Investments (16:54)
Issues in Foreign Investments (20:03)
Sources of Finances in Foreign Investments (17:50)
Treasury Function in Multinational Organisation (14:18)
Risks
Exchange Traded and OTC Derivatives (12:44)
Basis Risk in Hedging (11:22)
Value At Risk (16:13)
Currency Risks and Derivatives
Forex Forward Contracts (12:58)
Money Market Hedge (14:28)
Currency Futures (16:59)
Currency Options (16:44)
Forex Swaps (9:56)
Currency Interest Rate Swaps (9:41)
Multilateral Netting and Matching (6:36)
Forecasting Foreign Exchange rates (17:27)
Interest Risks and Derivatives
Hedging Interest Rate Risk (6:46)
Forward Rate Agreement (FRA) (15:15)
Interest Rate Guarantee (IRG) (8:44)
Interest Rate Futures (35:41)
Interest Rate Options - The Collar (19:32)
Interest Rate Swaps (14:42)
M&A
International Operations (4:52)
Mergers and Acquisitions (18:02)
Identification of Acquisition Targets (7:11)
Synergies in M&A (10:06)
Why M&A Fail (8:14)
Acquisition Defence Tactics (9:55)
Reverse Takeovers (6:30)
Regulation of M&A (5:17)
The issue of overvaluation in acquisitions (7:01)
Valuation methods in M&A (1:58)
Dealing with risk profile changes in acquisition valuations (18:55)
Valuation of start-ups (6:17)
Forms of takeover consideration (12:45)
Financing a Takeover (15:50)
Corporate Failure and Reorganisation
Corporate Failure (18:06)
Reconstruction of a Failing Company (6:22)
Reconstruction of a Solvent Company (5:59)
Corporate Reconstruction Plans (15:46)
Business Reorganisation Methods (15:00)
Benefits of Reorganisations (12:35)
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