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FM213 Finance
> LT Lecture 10 - Risk Management and Hedging > Flashcards
LT Lecture 10 - Risk Management and Hedging Flashcards
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FM213 Finance
(19 decks)
MT 1-2 - Present Value Computation and Calculation
MT 3 - Stocks and Bonds
MT 4 - Government Bonds
MT 5 - Risk, Return and Cost of Capital
MT 6 - Portfolio Theory and Asset Pricing
MT 7 - Market Efficiency
MT 8 - Forwards and Futures
MT 9 - Put and Call Options
MT 10 - Option Pricing Theory
LT Lecture 1 - Capital Budgeting and NPV Rule
LT Lecture 2 - Real Option
LT Lecture 3 - Payout Policy
LT Lecture 4 - Debt Policy
LT Lecture 5&6 - How much should a firm borrow?
LT Lecture 7 - The Many Different Types of Debt
LT Lecture 8 - Initial Public Offerings
LT Lecture 9 - Mergers, Corporate Governance, and Control
LT Lecture 10 - Risk Management and Hedging
FM213 Problem Set and Past Paper