THE INSTITUTE OF CPA A2.1 STRATEGIC CORPORATE FINANCE Study Manual
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Page Count: 206 [warning: Documents this large are best viewed by clicking the View PDF Link!]
- INTRODUCTION TO THE COURSE
- Definition of Risk
- 1. Adjust The Discount Rate
- 2. Payback Period – Applying A Time Limit
- 3. Sensitivity Analysis
- 4. Certainty Equivalent
- 5. Expected Values
- 6. Standard Deviation of the NPV
- 7. Simulation
- A. OVERVIEW OF WORKING CAPITAL MANAGEMENT
- B. CASH MANAGEMENT
- C. THE MANAGEMENT OF DEBTORS
- D. THE MANAGEMENT OF CREDITORS
- E. THE MANAGEMENT OF STOCKS
- A. INTRODUCTION
- C. EXCHANGE RISK
- D. METHODS OF REDUCING RISK
- Study Unit 14
- Present Value Table