FRL Course Videos
Dr. Ekaterina Chernobai’s FRL 3000 Videos
Lecture Videos
- Ch.1 – Introduction to corporate finance
- Ch.2 – Review Balance Sheets and Income Statements
- Ch.5 – “Time Value of Money” with single cash flow
- Ch.6 – “Time Value of Money” with multiple cash flows, annuities, perpetuities, effective annual rate, loan types
- Ch.7 – Bonds, inflation
- Ch.8 – Stocks
- Ch.9 – Investment valuation methods: Net Present Value, Profitability Index, Payback Period, Internal Rate of Return
- Ch.10 – Net Present Value in more detail: solving for the cash flows
- Ch.12 – Historical Risk and return, market efficiency
- Ch.13 – Expected risk and return - one stock vs portfolio of stocks, Capital Asset Pricing Model
- Ch.14 – Weighted Average Cost of Capital, flotation costs
- Ch.21 – International corporate finance
- COMMON FINAL EXAM REVIEW
Problem-Solving Videos
- Ch.5 – Future Value vs Present value
- Ch.5 – How old will you be?
- Ch.5 – Find the value of your car
- Ch.5 – Find the interest rate when the money doubles, or triples!
- Ch.6 – Find the missing cash flow!
- Ch.6 – Future Value of several different cash flows
- Ch.6 – Annuity Future Value and Present Value
- Ch.6 – Find the number of monthly annuity payments (part 1)
- Ch.6 – Find the number of monthly annuity payments (part 2)
- Ch.6 – Calculate the effective annual rate
- Ch.6 – Effective annual rate: when can we do without it?
- Ch.7 – Find bond value – annual vs semiannual coupons
- Ch.7 – Find bond YTM – annual vs semiannual coupons
- Ch.8 – Find stock price – “constant” vs “constant growth” dividend
- Ch.8 – Find stock price – “supernormal growth” dividend
- Ch.9 – Net Present Value vs Profitability Index
- Ch.9 – Net Present Value vs Internal Rate of Return
- Ch.10 – General set-up of Net Present Value problems
- Ch.10 – Find the after-tax salvage value
- Ch.12 – Geometric average annual return
- Ch.13 – 2 ways to calculate portfolio expected return
- Ch.13 – Capital Asset Pricing Model, over- & under-priced stocks
- Ch.14 – From debt-to-equity ratio to weights of debt & equity
- Ch. 21– Calculate "cross rate": Example #1 (easier)
- Ch. 21– Calculate "cross rate": Example #2 (harder)
Dr. Wei Yu's FRL 3000 Videos
Problem-Solving Videos
- Ch.6 – PV of Multiple Uneven Cash Flows
- Ch.6 – PV of Ordinary Annuity
- Ch.7 – PV of Annual Coupon Bond
- Ch.7 – PV of Semi-annual Coupon Bond
- Ch.7 – YTM of Annual and Semi-annual Coupon Bond
- Ch.8 – Non-constant Growth Stock Valuation
- Ch.9 – Project NPV and IRR
- Ch.10 – Shark Attractant Project Example
- Ch.10 – Cost Cutting Example
- Ch.13 – Expected Return and Variance of an Individual Asset
- Ch.13 – Expected Return and Variance of a Portfolio
- Ch.13 – CAPM
- Ch.16 – M&M Theory Case I
- Ch.16 – M&M Theory Case II
- Ch.21 – Relative Purchasing Power Parity
- Ch.21 – Covered Interest Rate Parity (IRP) and Uncovered Interest Rate Parity (UIP)
- Ch.21 – International Capital Budgeting