- Credit Risk
- Corporate Finance
- Return On Investment
- International Finance
- Financial Market
- Financial Analysis
- Derivatives
- Mergers & Acquisitions
- Loans
- Risk Management
- Business Risk Management
- Financial Management
Corporate Finance II: Financing Investments and Managing Risk
Completed by JUSTIN MICHAEL KIMPLING
May 8, 2019
20 hours (approximately)
JUSTIN MICHAEL KIMPLING's account is verified. Coursera certifies their successful completion of Corporate Finance II: Financing Investments and Managing Risk
What you will learn
Evaluate the benefits and costs of different types of debt such as bonds and bank debt.
Manage risks that cannot be hedged with derivatives using liquidity and other tools.
Use the NPV concept to identify situations of unfairness and injustice.
Identify potential conflicts between equity holders and debtholders in firms that are close to bankruptcy.
