Subject description - A5M16FIP
Summary of Study |
Summary of Branches |
All Subject Groups |
All Subjects |
List of Roles |
Explanatory Notes
Instructions
of portfolio.
management.
Financial calculus.
free return.Market portfolio. Securities market line. Portfolio with maximal return
A5M16FIP | Corporate finance | ||
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Roles: | PV | Extent of teaching: | 3P+1C |
Department: | 13116 | Language of teaching: | CS |
Guarantors: | Starý O., Vašíček J. | Completion: | KZ |
Lecturers: | Starý O., Vašíček J. | Credits: | 4 |
Tutors: | Kučerková B., Starý O., Vašíček J. | Semester: | L |
Web page:
https://ekonom.feld.cvut.cz/cs/student/predmety/finance-podnikuAnotation:
Principles of finance, present value and alternative cost of capital, financial calculus, long-term finance, valuation of bonds and stocks, investment decision and net present value, IRR, comparison time period, annual equivalent value, inflation and return, capital asset pricing model, portfolio, sensitivity analysis and risk, short term finance, cash flow management.Dividend policy.Course outlines:
1. | Introduction of finance, present value, opportunity cost | |
2. | Anuity, perpetuity, compound and simple interests. | |
3. | Long term finance. Stock and bonds prices | |
4. | Investment efficiency evaluation techniques. IRR, NPV. | |
5. | Complex financial evaluation.The comparison period, an equivalent annual value. | |
6. | Decision making with NPV. | |
7. | Inflation and tax influence on investment decision. | |
8. | Projects are not a black box. | |
9. | Capital assets pricing model. | |
10. | Introduction to the theory |
11. | Sensitivity and risk analysis. | |
12. | Financial risk. | |
13. | Short term financial plans and decison making. | |
14. | Other financial problems.Reserve. |
Exercises outline:
1. | Introduction of spreadsheets use focused on financial |
2. | Loans. Kinds of interests calculation..Depreciation. Tax shield. Group project assignment. | |
3. | NPV and IRR calculations. Mutually exclusive investments.Taxes, finance and NPV. | |
4. | Comparison period. Complex projects.Bonds and stock prices. Model with constant growth. | |
5. | Expected return and standard deviation of portfolio. Risk |
6. | Reading of finacial news. | |
7. | Test. Group project deadline.Project presentation.Assesment. Consultation. |
Literature:
Materiály k předmětu jsou na https://ekonom.feld.cvut.cz/cs/student/predmety/finance-podnikuRequirements:
https://ekonom.feld.cvut.cz/cs/student/predmety/finance-podniku Subject is included into these academic programs:Program | Branch | Role | Recommended semester |
MPIBNEW | Common courses | PV | 4 |
MPIB_2020 | Common courses | PV | 4 |
Page updated 22.9.2023 17:50:45, semester: Z/2023-4, L/2022-3, Z/2024-5, Send comments about the content to the Administrators of the Academic Programs | Proposal and Realization: I. Halaška (K336), J. Novák (K336) |