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Financial Risk Management I

Laval UniversityAct
Credits3
·
Semester offeredN/A
·
Last updated1 months ago

Description

Portfolio theory. Capital structure and cost. Debt policy. Modigliani-Miller theorems. Market perspectives, functioning, and efficiency. Dividend payments, corporate taxation. Characteristics and uses of financial instruments. Interest rate structure. Actuarial applications.

Course outline
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