ITF 312 • Midterm • Financial Management
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Eğitmen
Dorukhan Özcan
Co-Founder & CEO
Unicourse şirketinin kurucu ortağıyım. 2016 senesinde Galatasaray Lisesinden mezun oldum. Geçtiğimiz dört sene içerisinde 2000 saatten fazla ders anlattım. Anlattığım dersler sırasıyla; Calculus, Çok değişkenli Calculus, Lineer Cebir, Differansiyel Denklemler, Uygulamalı İstatistik ve Stokastik Modelleme dersleridir. Doping Hafıza şirketinde 2017 - 2022 seneleri arasında CEO danışmanlığı yaptım. Koç Üniversitesi Endüstri Mühendisliği ve Ekonomi çift anadal programını tam burslu olarak, 3.96/4.00 not ortalamasıyla bitirdim. Kadıköy Modalıyım.
Paketi Tamamla
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ITF 312 • Midterm
Financial Management
Gökhan Işık
1499 TL

ITF 312 • Final
Financial Management
Gökhan Işık
1499 TL
Konular
Interest Rates and Bond Valuation (Week 2&3)
GENERAL FEATURES OF A BOND ISSUE
YIELD TO MATURITY (YTM)
Problems on Interest Rates and Bond Valuation (Week 2&3)
Problem: Bonds
Problem: Bonds
Problem: Bonds
Poblem: Bond
Problem: Bonds
Stock Valuation (Week 4&5)
Common and Preferred Stock
Common Stock Valuation
Calculating Dividend Growth
MARKET EFFICIENCY AND STOCK VALUATION
OTHER APPROACHES TO COMMON STOCK VALUATION
Rate of Return, Dividend Yield, Capital Yield
Growth vs Income Stocks - PV of Growth Opportunities
Multiple Choice Questions on Stock Valuation (Week 4&5)
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Problems on Stock Valuation (Week 4&5)
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Risk and Return (Week 6&7)
Risk and Return Fundamentals
Risk of a Portfolio
Diversifiable risk and Non-diversifiable risk
Beta Coefficient
The Security Market Line
Risk and Return: The Capital Asset Pricing Model (CAPM)
CAPITAL MARKET EFFICIENCY
Multiple Choice Questions on Risk and Return (Week 6&7)
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Problems on Risk and Return (Week 6&7)
Problem: Risk and Return
Problem: Risk and Return
Problem: Risk and Return
Problem: Risk and Return
Problem: Risk and Return
Problem: Risk and Return
Değerlendirmeler
Henüz hiç değerlendirme yok.
Ders İçeriği
Interest Rates and Bond Valuation (Week 2&3)
GENERAL FEATURES OF A BOND ISSUE
YIELD TO MATURITY (YTM)
Problems on Interest Rates and Bond Valuation (Week 2&3)
Problem: Bonds
Problem: Bonds
Problem: Bonds
Poblem: Bond
Problem: Bonds
Stock Valuation (Week 4&5)
Common and Preferred Stock
Common Stock Valuation
Calculating Dividend Growth
MARKET EFFICIENCY AND STOCK VALUATION
OTHER APPROACHES TO COMMON STOCK VALUATION
Rate of Return, Dividend Yield, Capital Yield
Growth vs Income Stocks - PV of Growth Opportunities
Multiple Choice Questions on Stock Valuation (Week 4&5)
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Multiple Choice Question: Stock Valuation
Problems on Stock Valuation (Week 4&5)
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Problem: Stock Valuation
Risk and Return (Week 6&7)
Risk and Return Fundamentals
Risk of a Portfolio
Diversifiable risk and Non-diversifiable risk
Beta Coefficient
The Security Market Line
Risk and Return: The Capital Asset Pricing Model (CAPM)
CAPITAL MARKET EFFICIENCY
Multiple Choice Questions on Risk and Return (Week 6&7)
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Multiple Choice Question: Risk and Return
Problems on Risk and Return (Week 6&7)
Problem: Risk and Return
Problem: Risk and Return
Problem: Risk and Return
Problem: Risk and Return
Problem: Risk and Return
Problem: Risk and Return
Sıkça Sorulan Sorular
Örneğin, Koç Üniversitesi - MATH 101 (Calculus) veya başka bir okulun benzer dersi olsun, paketlerimiz tam da o derse göre tasarlanır. Böylece nokta atışı çalışır, zaman kazanırsın.
Sınava özel videolar —konu anlatımları, çıkmış sorular ve çözümleri, özet notlar—içerir. Sınavda sıkça çıkan soruları hedefler. Eğitmenlerimiz, üniversitenin akademik takvimini takip ederek paketleri sürekli günceller. Böylece, gereksiz detaylarla vakit kaybetmeden başarını artırmaya odaklanabilirsin.