Course Features
Duration
12 weeks
Delivery Method
Online
Available on
Limited Access
Accessibility
Mobile, Desktop, Laptop
Language
English
Subtitles
English
Level
Advanced
Effort
14 hours per week
Teaching Type
Instructor Paced
Course Description
Course Overview
Live Class
Human Interaction
Personlized Teaching
International Faculty
Post Course Interactions
Instructor-Moderated Discussions
Skills You Will Gain
Prerequisites/Requirements
Basic Probability and Statistics
Calculus
What You Will Learn
Corporate financial decisions
Interaction between investment and financing decisions
Introduction to corporate finance and capital budgeting
Portfolio theory and the Capital Asset Pricing Model (CAPM)
Real options, capital structure, payout policy, corporate bonds
Real options, capital structure, payout policy, corporate bonds and
Risk analysis, the Arbitrage Pricing Theory (APT), and the Efficient Market Hypothesis
Valuation of derivative securities
Valuation of fixed income securities and common stocks
Course Instructors
Egor Matveyev
Executive Director of MicroMasters Program in Finance at Massachusetts Institute of Technology
Jiang Wang
Mizuho Financial Group Professor and a Professor of Finance, Sloan School of Management at Massachusetts Institute of Technology
Leonid Kogan
Nippon Telegraph & Telephone Professor of Management and a Professor of Finance at Massachusetts Institute of Technology