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Finance Cheat Sheet- Formulae and Terminology

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This document has all the relevant formulae for FN1202 put together in one small document as well as summaries of the financial models and theories (CAPM, Gordon Growth Model, Dividend Discount Model, WACC and Modigliani-Miller Theorem). It also includes all the relevant terminology and their definitions (25+ terms) e.g. Cash Ratio, Inventory Turnover, asset turnover P/E ratio and so on. For reference- I achieved 92% for this course

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FINANCE FORMULAE


1+𝑔 𝑛
1−( 1+𝑟 ) (1+𝑟)𝑛 −(1+𝑔)𝑛
Annuity: PV = 𝐶 ( ) 𝑭𝑽 = 𝐶 ( )
𝑟−𝑔 𝑟−𝑔




𝐶 𝐷𝑡+1
Perpetuity: PV = & 𝑃0 =
𝑟−𝑔 𝑟𝑒−𝑔



𝑅𝑞𝑜𝑢𝑡𝑒𝑑 𝑚
EAR = (1 + ( 𝑚
) )−1




𝐷𝑡+1 +𝑃𝑡+1 −𝑃𝑡 𝐸(𝐷𝑡+1 )+𝐸(𝑃𝑡+1 )
Realized Return Rate: Rt+1 = Pt =
𝑃𝑡 1+𝐸(𝑟)



𝑇
Forward Price: F0, T = 𝑆0 (1 + 𝑟𝑟𝑓 )


𝐾
Put-Call-Parity: 𝐶 0 + 𝑇 = 𝑆0 + 𝑃0
(1+𝑟𝑟𝑓 )



𝐵 𝐶 −𝐶 𝑢𝐶𝑑−𝑑𝐶𝑢
Replicating portfolio Option price = 𝑆0 ∆ + 1+𝑟 , where ∆= 𝑆𝑢 −𝑆 𝑑 & 𝑩=
𝑟𝑓 𝑢 𝑑 𝑢−𝑑



𝑞𝐶𝑢 +(1−𝑞)𝐶𝑑 1+𝑟𝑟𝑓 −𝑑
Risk Neutral method: 𝐶0 = 1+𝑅𝑟𝑓
, where 𝑞 = 𝑢−𝑑
𝑎𝑛𝑑 𝑖𝑠 𝑟𝑖𝑠𝑘 𝑛𝑒𝑢𝑡𝑟𝑎𝑙 𝑝(𝑢𝑝𝑠ℎ𝑖𝑓𝑡)

• Cu & Cd are in relation to K whereas u & d are in relation to S0




E(R) = ∑ 𝑃𝑖𝑅𝑖
1
Var(R)= volatility2 = 𝜎 2 = ∑(𝑅𝑖 − 𝑅̅)2 = 𝑆𝐷2
𝑁−1

• 𝜎𝑅2 = ∑ 𝑃𝑖(𝑅𝑖 − 𝐸(𝑟))2
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Economics and Finance UoL Worldwide

Notes on subjects pertaining to BSc Economics and Finance. Please contact me for other resources you might need- such as notes for Principles of Corporate Finance, Microeconomics, Macroeconomics and more material on Elements of Econometrics-- These notes are not in a format which can be uploaded here. I am passionate about these subjects so please also reach out to me if you do not understand something in the notes- I am happy to explain them at no additional cost.

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