Financial Management 2 (FINC 323)
Continues FINC 322, with emphasis on risk and rates of return; bond and stock evaluation models; financial markets, institution and interest rates; risk analysis in capital budgeting; a more in depth look at the use of preferred stock, long term debt and leasing; the investment banking process; dividend policy; stock splits and re-purchases; mergers, divestitures, holding companies and LBO's. Pre-Requisites:FINC 322. Typically Offered Spring Only
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