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  Finance Part 2
 
 
Our Price: $19.98
Sale Price: $14.98
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Media Format: DVD
ISBN: 1-59443-478-6
UPC: 631865191024

Availability: Available
Product Code: GE1910


Description
 

THE WILD AND WACKY WORLD OF FINANCE, PART 2

Recommended by university professors and teachers nationwide, The Standard Deviants are the perfect resource for academic success. With videos ranging from English Composition to Organic Chemistry, The Standard Deviants’ entertaining and enjoyable teaching style breaks down difficult subjects into a clear, step-by-step format

Recommended by university professors and teachers nationwide, The Standard Deviants are the perfect resource for academic success.  The Standard Deviants’ entertaining and enjoyable teaching style breaks down difficult subjects into a clear, step-by-step format. Make sense of the stock pages as they learn how money moves through the market. This series explains: annuities, interest rates, portfolios, bond valuation, Internal Rate of Review, and much more!


The Standard Deviants provide:

  • A comprehensive tutorial of challenging course concepts
  • Study techniques including mnemonics, visual devices and memory builders
  • Quick reference cards with charts, definitions, formulas and course outlines
  • An approachable, off-beat format that builds understanding, confidence and retention

A specialized academic team is created for each subject featuring:

  • Two to three professors (from the nation’s best universities including Georgetown, Yale and UVA)
  • An accomplished student consultant
  • Standard Deviants staff and comedy writing specialists
EVERYTHING YOU NEED TO KNOW TO ACE FINANCE IS AT YOUR FINGERTIPS:
CAPM
portfolios
portfolio effect
beta
using CAPM for required
rate of return
using the SML
coupon rate
bond present value
yield to maturity
bond valuation
preferred stock
differential or supernormal
growth stock
constant growth stock
discount bonds
diversification
correlation coefficient
market risk
stock valuation
the security market line
coupon payment
maturity date
current yield
Gordon Growth Model
beta of a portfolio
constructing the SML
expected rate of return
on a portfolio

 

 

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