FIN 301.A • Final • Investments
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Eğitmen

Ömür Abay
Konular
Asset Classes and Basics of Options
4 konu anlatımı · 8 soru
The Money Market
The Capital Market: Fixed Income
Equity & Stock Market Indexes
Derivative Securities
Question 1
Question 2
Question 6
Question 7
Question 8
Question 9
Question 10
Question 11
Capital Allocation to Risky Asset
5 konu anlatımı · 17 soru
Risk Aversion & Utility Theory
The Capital Allocation Decision
The Capital Allocation Line
Risk Tolerance & Optimal Choice
Passive Strategies & The CML
Question 1
Question 2
Question 3
Question 4
Question 5
Question 6
Question 7
Question 8
Question 9
Question 10
Question 11
Question 12
Question 13
Question 14
Question 15
Question 16
Question 17
Optimal Risky Portfolios
6 konu anlatımı · 17 soru
Risk & The Investment Decision
Combining Two Risky Assets
The Optimal Risky Portfolio
The Markowitz Model
The Power of Diversification
Diversification in Practice
Question 1
Question 2
Question 3
Question 4
Question 5
Question 6
Question 7
Question 8
Question 9
Question 10
Question 11
Question 12
Question 13
Question 14
Question 15
Question 16
Question 17
The Capital Asset Pricing Model
5 konu anlatımı · 8 soru
Foundations of the CAPM
The Market Risk Premium
Beta & Expected Returns
The Security Market Line
Extensions & Liquidity
Question 1
Question 2
Question 3
Question 4
Question 5
Question 6
Question 7
Question 8
PRACTICE QUESTIONS
3 soru
Option-Position
Taxable Yield
TIPS Characteristic