Corporate Finance: Financial Analysis and Decision-Making
- Descrição
- Currículo
- FAQ
- Revisões
Welcome to our comprehensive online course on corporate finance and financial statement analysis. In this course, we will provide an in-depth exploration of the key concepts and tools used in corporate finance.
We will start with an introduction to financial statements, covering the balance sheet, income statement, and cash flow statement. You will learn how to analyze these statements to assess a company’s financial performance and make informed decisions.
Financial ratios will be a central focus of the course. We will delve into liquidity ratios, such as the current ratio and quick ratio, to evaluate a company’s short-term solvency. Profitability ratios, including return on equity and gross margin, will help you assess a company’s profitability. Additionally, we will explore leverage ratios, such as debt-to-equity ratio and interest coverage ratio, to gauge a company’s financial risk.
Forecasting and budgeting are crucial skills in corporate finance. You will learn techniques to create financial forecasts and budgets, enabling you to anticipate future financial outcomes and plan for growth. We will discuss methods such as trend analysis, regression analysis, and the use of financial models to make reliable projections.
Leverage and break-even analysis will be covered extensively. You will understand the impact of debt and fixed costs on a company’s profitability and risk. We will calculate and interpret various leverage ratios, such as the debt ratio and equity multiplier, and explore break-even analysis to determine the level of sales needed to cover costs.
Financing decisions are fundamental to corporate finance, and we will explore different sources of financing available to companies. You will learn about debt financing, equity financing, and the trade-offs between them. We will discuss the cost of capital and capital structure optimization to help you make optimal financing decisions.
Effective management of current assets is vital for maintaining liquidity and operational efficiency. Topics covered include working capital management, cash flow analysis, inventory management, and accounts receivable management. You will gain practical insights into techniques for optimizing current assets to support the company’s financial health.
Short-term financing options, such as bank loans, lines of credit, and trade credit, will be explored in detail. You will understand the benefits and risks associated with different short-term borrowing options and how to assess their suitability for a company’s financing needs.
The time value of money is a fundamental concept in finance, and we will cover it extensively. You will learn about present value, future value, annuities, and the calculation of interest rates. These skills will enable you to evaluate investment opportunities, project valuation, and capital budgeting decisions.
Valuation methods for bonds, common stock, and preferred stock will be thoroughly explained. We will discuss discounted cash flow analysis, dividend discount models, and price-earnings ratios to assess the intrinsic value of these securities. You will gain insights into the factors that influence the valuation of financial instruments.
Capital budgeting techniques, including net present value (NPV), internal rate of return (IRR), and payback period analysis, will be covered in detail. You will learn how to evaluate investment projects and make informed decisions based on their expected cash flows and profitability.
Managing investment risk is crucial, and we will explore techniques for measuring and managing risk. You will gain a deep understanding of portfolio theory, diversification strategies, and risk-adjusted return metrics to optimize your investment decisions.
The course will also delve into investment banking and the role of underwriters in capital markets. You will learn about the process of issuing securities, initial public offerings (IPOs), and the various functions of investment banks in facilitating capital raising activities.
Long-term debt financing, including bonds and loans, will be discussed extensively. We will cover debt valuation, debt covenants, and the impact of long-term debt on a company’s capital structure. You will gain insights into the factors to consider when evaluating and structuring long-term debt financing.
Additionally, we will explore financing through common stock and preferred stock, dividend policy, convertible bonds, and warrants. You will understand the complexities associated with these financing instruments and their implications for a company’s capital structure and shareholder value.
Finally, we will examine the dynamics of corporate acquisitions and the challenges posed by foreign currency. You will gain insights into the complexities of international finance, including exchange rate risk and the management of foreign currency transactions.
Throughout the course, you will have access to comprehensive case studies, practical exercises, and downloadable resources, including Excel files and reference materials, to reinforce your learning and provide hands-on experience in applying the concepts.
Enroll now in this comprehensive corporate finance course to enhance your financial analysis skills, decision-making abilities, and strategic insights, and gain a competitive edge in the dynamic world of corporate finance.
-
7205 Financial Statements OverviewVídeo Aula
-
8210 Balance Sheet IntroductionVídeo Aula
-
9215 Balance Sheet ContinuedVídeo Aula
-
10220 Income Statement OverviewVídeo Aula
-
11225 Income Statement ContinuedVídeo Aula
-
12230 Statement of Retained EarningsVídeo Aula
-
13235 Statement of Cash FlowsVídeo Aula
-
14OneNote ResourceTexto
-
15211 Earnings Per Share & Gross ProfitVídeo Aula
-
16214 Operating IncomeVídeo Aula
-
17215 Income Statement AccountsVídeo Aula
-
18216 Make an Income StatementVídeo Aula
-
19218 Make an Income Statement Including Earning Per ShareVídeo Aula
-
20223 Balance Sheet Current Noncurrent ClassificationVídeo Aula
-
21224 Balance Sheet & Income Statement ClassificationVídeo Aula
-
22225 Balance Sheet Alternative FormatsVídeo Aula
-
23227 Retained Earnings & Earnings Per ShareVídeo Aula
-
24230 Cash Flow Based on Account ActivityVídeo Aula
-
25231 Depreciation and Cash Flow StatementVídeo Aula
-
26232 Free Cash FlowVídeo Aula
-
27233 Book Value Per ShareVídeo Aula
-
28234 Book Value Per Share Earnings Per Share PE RatioVídeo Aula
-
29237 Financial Statements CreationVídeo Aula
-
30238 Statement of Cash FlowsVídeo Aula
-
31211 Earnings Per Share & Gross ProfitVídeo Aula
-
32214 Operating IncomeVídeo Aula
-
33215 Income Statement Account OrderVídeo Aula
-
34216 Make an Income StatementVídeo Aula
-
35218 Make an Income Statement Including Earning Per ShareVídeo Aula
-
36220 Income Statement with Expense Unknown & Tax & Interest Expense CalculationsVídeo Aula
-
37223 Balance Sheet Current Noncurrent ClassificationVídeo Aula
-
38224 Balance Sheet & Income Statement ClassificationVídeo Aula
-
39225 Balance Sheet Alternative FormatsVídeo Aula
-
40226 Increase in Retained Earnings & Earnings Per ShareVídeo Aula
-
41227 Retained Earnings & Earnings Per ShareVídeo Aula
-
42228 Earning Per Share & Price to Earnings RatioVídeo Aula
-
43230 Cash Flow Based on Account ActivityVídeo Aula
-
44231 Depreciation and Cash Flow StatementVídeo Aula
-
45232 Free Cash FlowVídeo Aula
-
46233 Book Value Per ShareVídeo Aula
-
47234 Book Value Per Share Earnings Per Share PE RatioVídeo Aula
-
48235 Book Value Per Share Earnings Per Share PE Ratio # 2Vídeo Aula
-
49237 Financial Statements CreationVídeo Aula
-
50238 Statement of Cash FlowsVídeo Aula
-
53OneNote ResourceTexto
-
54311 Profit Margin PercentVídeo Aula
-
55312 Return on Investment (ROI)Vídeo Aula
-
56313 Return on Assets, Total Asset Turnover, & Profit MarginVídeo Aula
-
57314 Return on Investment, Total Asset Turnover, & Profit MarginVídeo Aula
-
58315 Profit Margin Two Years Comparison & Income StatementVídeo Aula
-
59317 Expense to Sales RatiosVídeo Aula
-
60318 Return on Assets, Return on Equity, & Asset TurnoverVídeo Aula
-
61325 Total Asset Turnover & Return on Equity-More Complex RelationshipsVídeo Aula
-
62326 Total Asset Turnover, Return on Equity, & Profit MarginVídeo Aula
-
63327 Return on Equity & Other Ratios Two Company ComparisonVídeo Aula
-
64328 Average AR Collection PeriodVídeo Aula
-
65331 Turnover Ratios Two Year ComparisonVídeo Aula
-
66332 Multiple Ratio CalculationsVídeo Aula
-
67333 Times Interest Earned & Fixed Charge CoverageVídeo Aula
-
68337 Asset Turnover & Return on Equity Trend AnalysisVídeo Aula
-
69338 Asset Turnover & Debt to Asset Compared to IndustryVídeo Aula
-
70339 Net Profit Margin & ROA Division ComparisonVídeo Aula
-
71342 Ratios to Create Current Assets Portion of Balance SheetVídeo Aula
-
72343 Use Ratios to Create a Balance SheetVídeo Aula
-
73344 Use Ratios to Create Account BalancesVídeo Aula
-
74346 Comprehensive Ratio AnalysisVídeo Aula
-
75347 P1 Comprehensive Ratio – Two Companies Part 1Vídeo Aula
-
76347 P2 Comprehensive Ratio – Two Companies Part 2Vídeo Aula
