Welcome to the course.
This video tutorial traverses through understanding of bonds to equities, derivatives & International finance. In this tutorial, you will learn —
Risk & Return – This section introduces you as a learner to risk, returns and relationship between the two. CAPM model and portfolio risk/return calculation are also discussed.
Long Term Finance – This section focuses on –
— Capital Structure
— Bonds
— Equities
— Commodity vs Equity Derivatives
— Forwards vs Futures
— Options
— Swaps
— Hedging
— Cost of Capital
Raising Capital – This section focuses on –
— Commercial Bank Loans & Venture Capital
— Issuance of Equities
— Raising funds through bonds
— Market efficiency
— Dividend Policy
Working Capital Management – This section focuses on –
— Receivables Management
— Marketable Securities Management
— Inventory Management
— Trade finance
— Factoring
Corporate Restructuring
— Business Combinations
— Takeover strategies & Defenses
— Divestitures
— Valuation of business
International Finance
— Cross Currencies
— FDI
All explanations are based on CMA-USA-Part-2 syllabus which is considered as gold-level standard for management accounting profession. Teaching methodology is based on join-thedots pedagogy inter-linkage of multi-discipline subjects, a very powerful tool for aspiring leaders.
This course is suitable for candidates pursuing CMA-USA or CMA-India/CIMA-UK or candidates pursuing a career in finance & accounting. Feel free to drop us a message if you need any assistance for CMA-USA course material or any other queries.
Happy Learning
CMA Kiran
C2C Consulting