Business Finance Exam 2.5hrs to be done today!
$30-250 AUD
Paid on delivery
Project Description:
The exam includes multiple choice, short answer, and questions or problems that you will actually need to work out and submit your answer (plus the work showing how you arrived AT your answer)
Pick the "best" answer for the multiple choice questions. There is only one correct answer per multiple choice question.
Note: For all short answer/problem questions, complete and detailed calculations must be shown (submit the excel spreadsheets with appropriate references). Please note that answers without evidence of calculations and process (in appendices or excel spreadsheets) will not be given any credit and will receive zero marks.
In addition to the content, presentation will be taken into account in determining your grade on the final exam.
Topics Covered Below:
W1
Introduction Issues in Corporate Finance – the scope and activities of corporate
finance, principles roles of corporate finance manager and the key objective of financial
management.
W2 Valuation of Future Cash Flows and Valuing Bonds – introduction to the time value
of money and valuation of bonds.
W3 Valuing Shares - introduction to shares and valuation of shares.
W4 Capital Budgeting – introduction to various capital budgeting criteria, application of
criteria to investment proposals, advantages and disadvantages of each criteria.
W5
Cash Flow Estimation and Analysis of Risk – determination of relevant cash flows for
investment analysis, sources of risk in cash flow forecasting, assessment of forecasting
risk and the implications of management options in project evaluation.
W6
Cash Flow Estimation and Analysis of Risk – determination of relevant cash flows for
investment analysis, sources of risk in cash flow forecasting, assessment of forecasting
risk and the implications of management options in project evaluation.
W7
Risk and Return, and Capital Market Efficiency – introduction to the concept of
historical returns and volatilities for individual assets and for portfolio of assets; and a
brief discussion about efficient market hypotheses.
W8 Portfolio Management and Asset Pricing – introduction to the concept of
diversification strategy and Capital Asset Pricing Model.
W9 Cost of Capital – determination of cost of equity, cost of preference share, cost of debt
and weighted average cost of capital (WACC).
W10
Capital Structure and Leverage – introduction to common types of long term capital,
Modigliani and Miller capital structure decision, effects of corporate taxes and effects of
financial distress.
Project ID: #6098755
About the project
5 freelancers are bidding on average $148 for this job
I am qualified Chartered Accountant and FCCA. I have teaching experience of 5 years. I teach CA and ACCA students and my subject is business finance and corporate finance. You can trust me with your exam.
Hi, I'm happy to help you out with your exam though I won't actually sit it for you. I'm about to graduate my commerce degree and I got a distinction in Applied Portfolio Management. Cheers Keiran