Risk and Return and the Weighted Average Cost of Capital

开始时间: 04/22/2022 持续时间: 4 weeks

所在平台: EdxArchive

课程类别: 其他类别

大学或机构: ColumbiaX

授课老师: Daniel Wolfenzon

课程主页: https://www.edx.org/archive/risk-return-weighted-average-cost-columbiax-corpfin3x

课程评论:没有评论

第一个写评论        关注课程

课程详情

In this course, you will learn to estimate the expected return of equity and debt. You will also learn to estimate the weighted average cost of capital (WACC), the opportunity cost of capital you should use when discounting the free cash flows to value a firm.

In the process, you will learn to estimate the risk of financial assets and how use this measure of risk to calculate expected returns. You will also learn how the capital structure of a firm affects the riskiness of its equity and debt. Throughout the course, you will learn how to construct Excel models to value firms using hands on activities.

课程大纲

  • How to measure risk
  • Estimate the expected return of an asset based on its risk
  • Adjust the risk of the equity and debt of a firm when the firm changes its capital structure
  • Calculate the weighted average cost of capital (essential input to value of firm)

课程评论(0条)

课程简介

Learn how to measure the risk and return of equity and debt; and compute the weighted average of cost of capital.

课程标签

0人关注该课程

主题相关的课程