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Tutorials/exercises in finance

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06 oct. 2025

Dupont Family Mortgage Loan Calculation

Tutorials/exercises - 5 pages - Finance

This document examines the financial aspects of the Dupont family's house acquisition, including loan installments and debt capacity.

31 août 2025

The Impact of Blockchain Technology on Trade Finance: Enhancing Security and Efficiency

Tutorials/exercises - 3 pages - Finance

Discover how Blockchain technology is revolutionizing Trade Finance, providing additional security, reducing costs, and increasing efficiency for exporters, importers, and financial institutions. Learn about the benefits and future prospects of BCK solutions in TF.

01 mai 2025

Mathematics for Economics and Finance

Tutorials/exercises - 1 pages - Finance

Take the fictional nation of Panem, for example. The civilian population is subject to rationing of basic consumer goods. The rationing method is based on the use of redeemable coupons issued by the government. [...] Let's consider the case of a two-good world where both goods, x and y, are...

03 sept. 2024

Decision Theory under Uncertainty and Portfolio Management

Tutorials/exercises - 3 pages - Finance

This corrected exam offers 4 exercises on decision-making under uncertainty in the financial world.

01 mars 2024

Panel Data Analysis - Empirical Financial Modelling

Tutorials/exercises - 3 pages - Finance

We formulate the following three hypotheses after reading the literature: H1: There is a positive relationship between bank loans and ROAA. H2: There is a negative relationship between bank loans and the business climate dBSI. H3: There is a positive relationship between bank lending and GDP...

15 janv. 2024

Exploring Volatility Dynamics in Financial Markets

Tutorials/exercises - 11 pages - Finance

This project aims to investigate and analyze volatility in financial markets using Python. Volatility is a critical parameter in finance, influencing risk management, pricing models, and investment strategies. The project focuses on developing Python-based tools to measure, model, and analyze...

17 oct. 2023

The Profitability of a Company Product

Tutorials/exercises - 2 pages - Finance

A company manufactures and sells two types of products: "A" model and "B" model. - Calculate for each product, the level of activity (in volume) that allows covering its direct fixed costs. - What two actions can we suggest to increase the Contribution Margin in order to cover the specific costs...

23 sept. 2011
doc

The identification and management of financial risks

Tutorials/exercises - 4 pages - Finance

Financial risk exposure to adverse events that erode the profitability of the company and may in, extreme circumstances,lead to the collapse of the case. They may be doubtful, unfavorable changes in exchange rates, dependence on one supplier, the loss of a major customer, the loss of foreign...

23 juin 2011

Corporate Finance I

Tutorials/exercises - 7 pages - Finance

1. CAPITAL ASSET PRICING MODEL a. Calculate the required return of Stock A. b. Calculate the Beta of Stock C. c. Using only Stocks A and D, calculate the percentage of each stock you would need to create a portfolio that has a Beta of 1.0. Calculate the required return of this portfolio. d....

09 févr. 2011

Final Assignment Corporate Finance

Tutorials/exercises - 7 pages - Finance

In the CAPM formula, Beta or ? represent the relative risk of stock which is related to the market. It is a key parameter in the CAPM formula because it will permit to measures the risk of the company compared to the risk of the overall market. The stock risk of the market is representing by a...

21 déc. 2010
doc

Why does the U.S. government keep urging China to revalue its currency?

Tutorials/exercises - 6 pages - Finance

On September 23, 2010, President Obama increased pressure on China to immediately revalue its currency, devoting most of a two-hour meeting with China's prime minister Wen Jiabao to the issue and sending the message if 'the Chinese don't take actions, we have other means of protecting US...

29 sept. 2010
doc

Advance corporate finance: Exercises - published: 29/09/2010

Tutorials/exercises - 9 pages - Finance

You have two stocks with the following Expected Returns (ER) and Standard Deviations (SD). Stock A: ER = 5%, SD = 5%. Stock B: ER = 10%, SD = 10%. The correlation coefficient is 0.5. Show how you can create a portfolio with these two stocks which would have an ER of 8%. What is the SD of this...

06 avril 2010
pdf

A benchmark of finding the criteria for optimal portfolio choice

Tutorials/exercises - 17 pages - Finance

In today's rapidly changing economic environments, global portfolio investors are invariably confronted with dynamic and fluid choice of criteria that enable them to exercise subjective judgment on asset portfolio choice decisions. The subjective investment portfolio choice includes the...

20 nov. 2009
doc

Analyzing financial statements : security Analysis

Tutorials/exercises - 8 pages - Finance

First, let's define what the 'price to book', 'price to sales' and 'price to cash flow' are. The price to book ratio (P/B Ratio) is a financial ratio usually used to compare the stock's market value to its book value. Book value is the term used to designate the...

07 oct. 2009
doc

The role of private equity firms as an alternative investment model in the Middle East and globally

Tutorials/exercises - 27 pages - Finance

The global economic reality has witnessed a recent international increase in the private equity markets. This fact has brought up many concerns as to whether this will have a positive or negative outcome (Financial Services Authority, 2006). This document will present an overview of private...

01 oct. 2009
doc

Efficiency analysis of conventional and Islamic banks in Indonesia using data envelopment analysis

Tutorials/exercises - 18 pages - Finance

Islamic banks have been in existence since early 1960s. The first Islamic bank was established in 1963 as a pilot project in the form of rural savings bank in a small town of Egypt, Mit Ghamr. After that, Islamic banking movement came back to life in mid 1970s. The establishment of Islamic...

30 sept. 2009
doc

Advance corporate finance: exercises

Tutorials/exercises - 9 pages - Finance

You have two stocks with the following Expected Returns (ER) and Standard Deviations (SD). Stock A: ER = 5%, SD = 5%. Stock B: ER = 10%, SD = 10%. The correlation coefficient is 0.5. Show how you can create a portfolio with these two stocks which would have an ER of 8%. What is the SD of this...

30 mai 2009
doc

Mutual funds and their investment options

Tutorials/exercises - 42 pages - Finance

A mutual fund is a pool of money, collected from investors, and is invested according to certain investment options. A mutual fund is a trust that pools the savings of a number of investors who share a common financial goal. A mutual fund is created when investors put their money together. It is...

30 mai 2009
doc

Impact of Herberg and Maslow's theories in organizations

Tutorials/exercises - 49 pages - Finance

Among various behavioral theories generally believed and embraced by American business are those of Frederick Herzberg and Abraham Maslow. Herzberg, a psychologist, proposed a theory about job factors that motivate employees. Maslow, a behavioral scientist and contemporary of Herzberg's,...

30 mai 2009
doc

Analysis of stock markets using GANN studies

Tutorials/exercises - 50 pages - Finance

Tradegen systems is a one stop solution provider and guide to help Indian traders and investors maximize their returns from the markets and create wealth for themselves and their family. Our range of profitable products and robust trading systems together with our principles will help any Indian...

28 mai 2009
doc

A study on mutual funds and investors behavior

Tutorials/exercises - 33 pages - Finance

Mutual fund is a pool of money collected from investors and is invested according to certain investment options. A mutual fund is a trust that pools the saving of a no. of investors who share a common financial goal. A mutual fund is created when investors put their money together. It is,...

28 mai 2009
doc

Working capital management in Hindalco (Aditya Birla Group)

Tutorials/exercises - 60 pages - Finance

The foundation stone of the Aditya Birla Group was laid down by the great visionary and the founding father of the Indian industry- Lt. Shri Ghanshyam Das Birla. The succession torch was successfully carried on by his son, Lt. Shri Basant Kumar Birla. In the year 1943 was born Aditya Vikram...

27 mai 2009
doc

The role of National Bank Ltd in export and import in Bangladesh - NBL Dhaka

Tutorials/exercises - 41 pages - Finance

A bank is an institution, which deals in money. It means that a bank receives money in the form of deposits from the public and lends money for the development of trade and commerce. It is very difficult to define the term “Bank” or “Banker” precisely. Even the best...

26 mai 2009
doc

Need for financial statement analysis in a computer hardware industry

Tutorials/exercises - 38 pages - Finance

Financial management, as an integral part of overall management is not totally an independent area. It draws heavily on related disciplines and fields of study such as economics, accounting, marketing, production and quantitative methods. The scope of finance function was treated by the...

21 mai 2009
doc

HDFC and the mobilization of funds in the insurance sector

Tutorials/exercises - 63 pages - Finance

It has been established that village co-operatives insured against loss of profit in an industry in the early days of the Aryan Civilization. There were contacts safeguarding risks of transport by sea or land. Further these well renowned joint-family system rendered services similar to those of...

21 mai 2009
doc

A study on currency correlation and variability as a hedging tool: An analytical study of their relationship

Tutorials/exercises - 47 pages - Finance

Organizations are becoming increasingly more globalized. Currency transactions and risks there upon influence an organization portfolio. Firms are finding it necessary to pay special attention to foreign exchange exposure and accordingly design and implement suitable hedging strategies. The...

21 mai 2009
rtf

A study and an in depth analysis of the Indian capital market

Tutorials/exercises - 33 pages - Finance

The medium capitalized segment of the stock market is being increasingly perceived as an attractive investment segment with high growth potential. However, the lack of awareness among the investors has not been able to prove much as per the above statement. Majority of the investors invest...

20 mai 2009
doc

Black and Scholes option pricing model and its applicability

Tutorials/exercises - 45 pages - Finance

The world financial market has undergone qualitative changes in the last three decades due to phenomenal growth of derivatives. With the world embracing the derivative trading on a large scale, the Indian market cannot remain aloof, especially after liberalization has set in motion. Derivative...

20 mai 2009
doc

A study on foreign currency funding option

Tutorials/exercises - 35 pages - Finance

Globalization of economy has resulted in interlinking of financial markets in different countries into a common worldwide pool of funds to be accessed by borrowers and lenders alike. No sector of the economy seems to be more global in its orientation and operations than finance. To succeed in...

09 mai 2009
doc

Risk management in the asset management industry (risk measurement techniques): An evaluation of 'value at risk' tools

Tutorials/exercises - 112 pages - Finance

This Report is divided into two parts. Part I is introductory in nature containing brief profiles of global and Indian mutual fund industries, risk and the mutual fund industry, theoretical aspects of risk management process and various concepts associated with measurement of risks in...