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Semester 4 BScB Finance Revision Guide Welcome to the Semester 4 BScB Finance revision guide! This guide is designed to help you master the essential topics through a combination of videos, quizzes, and exercises. Topics Covered: * Capital Structure in a Perfect Market * Debt and Taxes * Financial Distress, Managerial Incentives, and Information * Valuing Projects and Firms * Valuing Cash Flow Streams * Capital Budgeting and Investment Decision Rules * Valuing Stocks * Portfolio Theory * Risk and Return * Capital Allocation to Risky Assets * Optimal Risky Portfolios * Portfolio Theory Using Matrix Notation * Equilibrium in Capital Markets * Capital Asset Pricing Model (CAPM) * The Efficient Market Hypothesis (EMH) * Fixed Income Securities * Bond Prices and Yields * The Term Structure of Interest Rates * Managing Bond Portfolios * Derivatives * Option Markets * Option Valuation Study Tips Regular Practice: Consistent practice through quizzes and exercises helps reinforce concepts. Video Reviews: Rewatching lectures can clarify difficult topics. Group Study: Discussing with peers can provide new insights and understanding. Mock Exams: Simulate exam conditions with practice tests to gauge readiness. Good luck with your exams! With thorough preparation and understanding of these topics, you'll be well-equipped to excel in your Semester 4 BScB Finance exams.
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