COMM 298
UBC
Course Overview
Lessons & Practice
1. Introduction to Finance
5min2. Time Value of Money
1.8hr- 2.I. Chapter Intro1 min
2.1.1. Simple Interest1 min2.1.2. Example1 min2.1.3. Practice Question: Simple Interest3 min2.1.4. Compound Interest3 min2.1.5. Manipulating the PV or FV Formula39 sec2.1.6. Example Problem: Compound Interest4 min2.1.7. Practice Question: Compound Interest5 min2.1.8. Example Problem: Discounting2 min2.1.9. Practice Problem: Discounting3 min
2.2.1. Annual Percentage Rate (APR) and Effective Annual Rate (EAR)2.2.2. Example: Effective Annual Rate2 min2.2.3. Practice: Effective Annual Rates2 min2.2.4. Effective Periodic Rates3 min2.2.5. Example: Effective Periodic Rate40 sec2.2.6. Practice: Effective Periodic Rate51 sec2.2.7. Continuous Compounding1 min2.2.8. Example: Continuous Compounding1 min2.2.9. Practice: Continous Compounding1 min2.2.10. Example Problem: Interest Rate Periodicity Conversion2.2.11. Example Problem: Combining Periodicity and Present Value2 min2.2.12. Practice Question: Combining Periodicity and Time Value Calculations2 min
2.3.1. Ordinary Annuity3 min2.3.2. Example Problem: Ordinary Annuities6 min2.3.3. Practice Question: Present Value of Ordinary Annuity4 min2.3.4. Annuity-Due1 min2.3.5. Example Problem: Present Value of Annuity-Due2 min2.3.6. Example Problem: Future Value of Annuity-Due3 min2.3.7. Moving Annuities1 min2.3.8. Example Problem: Moving Annuities3 min2.3.9. Practice Problem: Moving Annuities3 min
2.5.1. Contract vs Personal Rate1 min2.5.2. Example Problem: Contract vs Personal Rate4 min2.5.3. Practice Question: Contract vs Personal Rate5 min2.5.4. Types of Loans1 min2.5.5. Example Problem: Pure Discount Loan51 sec2.5.6. Example Problem: Interest-only Loans2 min2.5.7. Practice Question: Pure Discount and Interest Only Loans2 min2.5.8. Amortized Loans (Instalment Loans)2 min2.5.9. Finding the Payment, Balance, Principal and Interest Portions2 min2.5.10. Example Problem: Amortized Loans6 min2.5.11. Practice6 min
3. Bond Valuation
47min3.1.1. What is a Bond?2 min3.1.2. Bond Valuation2 min3.1.3. Types of Bonds2 min3.1.4. Example Problem: Bond Valuation, Annual Coupons3.1.5. Example Problem: Bond Valuation, Semi-Annual Coupons2 min3.1.6. Practice Question: Bond Valuation 11 min3.1.7. Practice Question: Bond Valuation 22 min3.1.8. Perpetual Bonds (Consols)29 sec3.1.9. Example Problem: Consols57 sec3.1.10. Practice Question: Consols3 min
3.2.1. Pricing Sensitivity and Factors Affecting Bond Yields2 min3.2.2. Realized Rate of Return and Capital Gain/Loss43 sec3.2.3. Example Problem: Realized Rate of Return6 min3.2.4. Practice Problem: Realized Rate of Return7 min3.2.5. Inflation and Real Returns2 min3.2.6. Example Problem: Inflation and Real Returns4 min3.2.7. Example: Inflation5 min3.2.8. Practice: Inflation5 min
4. Equity Valuation
1.1hr- 4.I. Chapter Intro60 sec
4.1.1. Equity Basics2 min4.1.2. Common Equity vs Preferred Equity2 min4.1.3. Equity Valuation1 min4.1.4. Example: Basic Dividend Discounting2 min4.1.5. Practice: Basic Dividend Discounting2 min4.1.6. Dividend Discount Model (Zero Growth)59 sec4.1.7. Example: Dividend Discount Model (Zero Growth)38 sec4.1.8. Practice: Dividend Discount Model (Zero Growth)2 min4.1.9. Gordon Growth Model2 min4.1.10. Example: Gordon Growth Model1 min4.1.11. Practice: Gordon Growth Model2 min4.1.12. Practice: Gordon Growth Model - Solving for Expected Return1 min4.1.13. Practice: Solving for Return2 min4.1.14. Example: Shrinking Dividends2 min4.1.15. Practice: Shrinking Dividends1 min4.1.16. Ex-Dividend and Cum-Dividend Price2 min4.1.17. Example: Cum-Dividend Price2 min4.1.18. Practice: Cum-Dividend Price4 min4.1.19. Non-Constant Growth Model2 min4.1.20. Example: Non-Constant Growth Model6 min4.1.21. Practice: Non-Constant Growth Model7 min
5. Risk and Return
50min- 5.I. Chapter Intro59 sec
5.1.1. Expected Return, Variance and Standard Deviation3 min5.1.2. Example Problem: Expected Return and Standard Deviation5 min5.1.3. Practice Problem: Expected Return and Standard Deviation3 min5.1.4. Covariance and Correlation2 min5.1.5. Example: Covariance and Correlation11 min5.1.6. Practice: Covariance and Correlation5 min
6. CAPM
33min- 6.I. Chapter Intro51 sec
6.2.1. Market Risk and Beta2 min6.2.2. Example: Finding a Stock's Beta1 min6.2.3. Practice: Finding a Stock's Beta6.2.4. Example: Finding Portfolio Beta59 sec6.2.5. Practice: Finding Portfolio Beta2 min6.2.6. The Market Line (SML)5 min6.2.7. Example: Pricing a Stock3 min6.2.8. Practice: Pricing a Stock2 min