This is the final for Financial Accounting.
1. SML Equasion
2. Expected Returns-weighted average of outcomes
3. Portfolio Returns (Weighted average of returns w/in the portfolios) (WA beta, WA SML Equasion)
4. Non-Annual Comounding (c/y, p/y, N+I)
5. Bond Valuation (N, FV, Payment--Contractucal)
6. Constant Growth Stock (I, P=PV--Mkt)
7. WACC (ks (p1/p0)+g) or (Po (D1)/ks-g))
8. Payback period
9. Discounted Payback peroid
10. NPV
11. IRR
12. MIRR
13. Ratios (around 12-15)
Anything in details, I can help if you want to know more.
