FIN 402 Entire Course
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FIN 402 Week 1 Assignment Capital Markets and Investment Banking Process Paper
FIN 402 Week 1 DQ 1
FIN 402 Week 1 DQ 2
FIN 402 Week 1 DQ 3
FIN 402 Week 2 Learning Team Assignment Portfolio Selection Paper
FIN 402 Week 2 Assignment Asset Classes Paper
FIN 402 Week 2 DQ 1
FIN 402 Week 2 DQ 2
FIN 402 Week 2 DQ 3
FIN 402 Week 3 Individual Assignment CAPM Web Exercise
FIN 402 Week 3 Assignment Relative Performance Paper
FIN 402 Week 3 DQ 1
FIN 402 Week 3 DQ 2
FIN 402 Week 3 DQ 3
FIN 402 Week 4 Learning Team Assignment Risk and Return Analysis Paper
FIN 402 Week 4 Individual Assignment Risk and Return Tradeoff Memo
FIN 402 Week 4 DQ 1
FIN 402 Week 4 DQ 2
FIN 402 Week 4 DQ 3
FIN 402 Week 5 Assignment Investment Portfolio Paper
FIN 402 Week 5 Individual Assignment Investment Enhancement Paper
FIN 402 Week 5 DQ 1
FIN 402 Week 5 DQ 2
FIN 402 Week 5 DQ 3
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FIN 402 Final Exam Guide
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FIN 402 Investment Fundamentals and Portfolio Management Final Exam Guide
True/False
1.___ ___ The balance sheet shows what assets the firm controls at a point in time and how it financed the assets.
2.___ ___ Free cash flow = Cash flow from operations – Capital expenditures + Disposition of property and equipment.
3.___ ___ The income statement indicates the flow of sales, expenses, and earnings during a period of time.
4.___ ___ Financial ratios are used in stock and bond valuation models.
5.___ ___ A good portfolio is a collection of individually good assets.
6.___ ___ If the covariance of two stocks is positive, these stocks tend to move together over time.
7.___ ___ Increasing the correlation among assets in a portfolio results in an increase in the standard deviation of the portfolio.
8.___ __ In a three asset...