corporate finance equations

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  • Created by: charlie
  • Created on: 10-01-17 21:56
portfolio theory: expected return from combination of 2 assets
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portfolio theory: variance of combination of 2 assets
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CAPM: equation
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CAPM: systematic risk
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*CAPM: Beta
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CAPM: portfolio Beta
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CAPM: rate of return on share period t to t+1
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DCF: Inflation
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DCF: *Annuity/Perpetuity
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DCF: discount rates for non annual periods
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IRR (as opposed to NPV)
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Ordinary shares: dividend yield (3%) (income)
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Ordinary shares: Cover (1.5 or 2%)
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Ordinary shares: P/E ratio (capital gain)
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DVM: MV equity (no growth/with growth)
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DVM: Irredeemable debt (without tax/with tax)
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DVM: redeemable debt (without tex/with tax)
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DVM: g (gordon growth model)
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DVM: g (extrapolation of past dividends)
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DVM: WACC
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ex div
cum div - div
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*M&M: cost of equity of geared firm with corporation tax
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*M&M: WACC (of geared firm)
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*M&M: total MV of geared firm
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*M&M: geared beta (equity beta)
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Dividend policy: Lintner
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Long term financing and project appraisal: APV
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Exchange rate: forward margin (annualised)
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Interest rates: Uncovered interest parity
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Interest rates: Covered interest parity
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DVM: r (using opening capital or average capital)
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DVM: b
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Other cards in this set

Card 2

Front

portfolio theory: variance of combination of 2 assets

Back

.

Card 3

Front

CAPM: equation

Back

Preview of the front of card 3

Card 4

Front

CAPM: systematic risk

Back

Preview of the front of card 4

Card 5

Front

*CAPM: Beta

Back

Preview of the front of card 5
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