In this course you will learn how companies decide on how much debt to take, and whether to raise capital from markets or from banks. You will also learn how to measure and manage credit risk and how to deal with financial distress. You will discuss the mechanics of dividends and share repurchases, and how to choose the best way to return cash to investors. You will also learn how to use derivatives and liquidity management to offset specific sources of financial risk, including currency risks. Finally, You will learn how companies finance merger and acquisition decisions, including leveraged buyouts, and how to incorporate large changes in leverage in standard valuation models.
- 5 stars85.57%
- 4 stars12.45%
- 3 stars0.86%
- 2 stars0.49%
- 1 star0.61%
來自CORPORATE FINANCE II: FINANCING INVESTMENTS AND MANAGING RISK的熱門評論
Great course, interesting subjects, and financial insight on strategy and tactics.
Real-life exercises analyzed by Heitor Almeida in a very nice way!!!
Excellent teacher and excellent material filled with real life examples. It was very interesting to study this course,
each topic is nicely explained, real life examples are very fruitful.
voice is low during interview, but it was very fruitful and have learnt a-lot.
Risk Management section felt very rushed - would have appreciated a slower pace and more detailed description for such a complicated topic - especially Hedging!