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Lecture
Principles of Finance: Stock Valuation and Investment Strategies
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Related lectures (31)
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Covers the APV valuation method, comparing it to the WACC method and discussing the Flow-to-Equity method and default costs.
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Explores the tradeoff between risk and return in portfolios, the benefits of diversification, and the impact of correlation on portfolio risk.
Introduction to Finance: Risk and Return in Portfolios
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Covers risk and return tradeoffs in portfolios, diversification benefits, and the efficient frontier with multiple assets.
Efficient Portfolio: CAPM Application
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Explores efficient portfolios and the CAPM model in finance, analyzing risk, returns, and market relationships.
Principles of Finance: Balance Sheet and Time Value of Money
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Introduces finance basics, balance sheet evaluation, and time value of money.
Energy Economics: Payback Period and Investment Analysis
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Explores portfolio rate of return, valuation, risk characterization, and historical performance, emphasizing diversification benefits and mean-variance analysis.
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Delves into the impact of debt on firm value through tax benefits and valuation methods, using real-world examples like Nestle's debt policy.
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