Universiteit van Amsterdam (UVA) • Finance
Latest uploads for Finance at Universiteit van Amsterdam (UVA). Looking for Finance notes at Universiteit van Amsterdam (UVA)? We have lots of notes, study guides and study notes available for Finance at Universiteit van Amsterdam (UVA).
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Courses Finance at Universiteit van Amsterdam (UVA)
Notes available for the following courses of Finance at Universiteit van Amsterdam (UVA)
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Advanced Corporate Finance 6314M0277Y 1
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Advanced Corporate Finance 6314M0277Y 6314M0277Y 1
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Applied Financial Econometrics 6314M0279Y 1
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Behavioural Finance 6314M0288Y 1
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Corporate Finance 6013B0517Y 1
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Corporate Governance 6314M0287Y 2
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Finance 2 6012B0457Y 1
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Financial Markets 6314M0278Y 2
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Financial Markets 6314M0278Y 6314M0278Y 1
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Investment and Portfolio Theory 1 6013B0516Y 1
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Investment and Portfolio Theory 2 6013B0518Y 1
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Valuation 6314M0286Y 1
Popular books Universiteit van Amsterdam (UVA) • Finance
Zvi Bodie, Alex Kane • ISBN 9780071263252
Latest content Universiteit van Amsterdam (UVA) • Finance
Full Course Summary of advanced Finance course in a later stage of the Bachelor. Mostly material on equity valuation, debt vs. equity financing and asset pricing such as CAPM as well as derivatives and real options.
- Book & Paket-Deal
- Summary
- • 24 pages's •
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Universiteit van Amsterdam•Finance 2
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Corporate Finance, Global Edition • Jonathan Berk, Peter Demarzo• ISBN 9781292304151
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Finance Courses• By mathiasm1
Preview 5 out of 24 pages
Getting your document ready...
Full Course Summary of advanced Finance course in a later stage of the Bachelor. Mostly material on equity valuation, debt vs. equity financing and asset pricing such as CAPM as well as derivatives and real options.
(1) Fixed Income Portfolio and Rebalancing Methods. 
(2) Equity and Assets Pricing Methods (CAPM, APT etc.). 
(3) Efficient Market Hypothesis vs. Behavioral Finance.
- Book & Paket-Deal
- Summary
- • 41 pages's •
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Universiteit van Amsterdam•Investment and Portfolio Theory 1
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Investments • Zvi Bodie, Alex Kane• ISBN 9780071263252
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Finance Courses• By mathiasm1
Preview 5 out of 41 pages
Getting your document ready...
(1) Fixed Income Portfolio and Rebalancing Methods. 
(2) Equity and Assets Pricing Methods (CAPM, APT etc.). 
(3) Efficient Market Hypothesis vs. Behavioral Finance.
This summary spans the chapters 4, 20 - 26 as well as Carhart (1997). 
Many colorful graphs and equations to illustrate the theories better with 
emphasis on real world examples. Main topics span Asset valuation, Derivatives and Portfolio Management
- Book & Paket-Deal
- Summary
- • 26 pages's •
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Universiteit van Amsterdam•Investment and Portfolio Theory 2
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Investments • McGraw-Hill, Bodie• ISBN 9781260083392
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Finance Courses• By mathiasm1
Preview 5 out of 26 pages
Getting your document ready...
This summary spans the chapters 4, 20 - 26 as well as Carhart (1997). 
Many colorful graphs and equations to illustrate the theories better with 
emphasis on real world examples. Main topics span Asset valuation, Derivatives and Portfolio Management