Podcasts

Finance and Econometrics

Westmont College

Finance and Econometrics

Episodes

EB 17 - Jan. 12, 2012
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2017-10-07 03:17:13 UTC 0:00:00
EB 17 - Jan. 12, 2012

test 22
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test 22

17 - Regressive Assumptions 1-10
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17 - Regressive Assumptions 1-10

17 - Independent Variables 1-9
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17 - Independent Variables 1-9

17 - ANOVA 1-8
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17 - ANOVA 1-8

17 - Validity + Reliability 1-7
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17 - Validity + Reliability 1-7

17 - Types of Data 1-6
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17 - Types of Data 1-6

17 - Hypothesis Testing + Betas 1-5
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17 - Hypothesis Testing + Betas 1-5

17 - Coefficient of Determination 1-4
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17 - Coefficient of Determination 1-4

17 - Multiple Regression 1-3
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17 - Multiple Regression 1-3

17 - Simple Regression 1-2
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17 - Simple Regression 1-2

17 - The Research Process 1-1
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17 - The Research Process 1-1

Firm Evaluation 131 5-14
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Firm Evaluation 131 5-14

Corporate Bond Financing 131 5-13
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Corporate Bond Financing 131 5-13

Pro Forma CF - Steady Price 131 5-12
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Pro Forma CF - Steady Price 131 5-12

Pro Forma CF - Steady Revenue 131 5-11
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Pro Forma CF - Steady Revenue 131 5-11

Pro Forma - Straight Line Depreciation 131 5-10
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Pro Forma - Straight Line Depreciation 131 5-10

All Cash Purchase 131 5-9
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All Cash Purchase 131 5-9

Cost to Lease 131 5-8
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Cost to Lease 131 5-8

Cost to Finance 131 5-7
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Cost to Finance 131 5-7

Investment Opportunity Schedule 131 5-5
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Investment Opportunity Schedule 131 5-5

Systematic Risk vs Non Systematic Risk 131 5-6
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Systematic Risk vs Non Systematic Risk 131 5-6

BC Ratio 131 5-4
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BC Ratio 131 5-4

Net Present Value 131 5-2
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Net Present Value 131 5-2

Internal Rate of Return 131 5-3
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Internal Rate of Return 131 5-3

Weatlth 131 5-1
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Weatlth 131 5-1

Four Variables 131 1-2
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Four Variables 131 1-2

Present Value/Future Value 131 1-1
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Present Value/Future Value 131 1-1

RACC 131 4-5
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RACC 131 4-5

BETA and the Market Portfolio 131 4-3
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BETA and the Market Portfolio 131 4-3

CAPM 131 4-2
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CAPM 131 4-2

APT 131 4-4
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APT 131 4-4

Volatility and Expected Return 131 4-1
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Volatility and Expected Return 131 4-1

Money Market Instruments 131 3-6
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Money Market Instruments 131 3-6

Overnight Eurodollars 131 3-7
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Overnight Eurodollars 131 3-7

Cash Conversion 131 3-5
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Cash Conversion 131 3-5

Cost to Forgo a Discount 131 3-4
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Cost to Forgo a Discount 131 3-4

The Cash Budget 131 3-3
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The Cash Budget 131 3-3

Aging Schedules 131 3-2
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Aging Schedules 131 3-2

Cash Flow Timing 131 3-1
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Cash Flow Timing 131 3-1

Three Leverage Ratios 131 2-13
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Three Leverage Ratios 131 2-13

Three Return Ratios 131 2-14
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Three Return Ratios 131 2-14

Retention Ratios 131 2-12
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Retention Ratios 131 2-12

Earnings Ratios 131 2-11
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Earnings Ratios 131 2-11

Coverage Ratios 131 2-10
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Coverage Ratios 131 2-10

Four Profit Margins 131 2-9
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Four Profit Margins 131 2-9

Receivables Turnover 131 2-8
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Receivables Turnover 131 2-8

The Income Statement 131 2-2
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The Income Statement 131 2-2

Inventory Turnover 131 2-7
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Inventory Turnover 131 2-7

The Balance Sheet 131 2-1
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The Balance Sheet 131 2-1

Asset Turnover 131 2-6
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Asset Turnover 131 2-6

Debt Positions 131 2-5
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Debt Positions 131 2-5

Current plus Quick Ratios 131 2-3
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Current plus Quick Ratios 131 2-3

Working Capital 131 2-4
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Working Capital 131 2-4

Mortgage Refinance Example 131 1-13
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Mortgage Refinance Example 131 1-13

Amortization Functions 131 1-12
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Amortization Functions 131 1-12

Annuity Retirement Plan 131 1-14
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Annuity Retirement Plan 131 1-14

PV Case Examples 131 1-9
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PV Case Examples 131 1-9

Mortgage Case Example 131 1-11
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Mortgage Case Example 131 1-11

FV Case Examples 131 1-10
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FV Case Examples 131 1-10

PV of an Annuity - loans 131 1-8
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PV of an Annuity - loans 131 1-8

PV of an Annuity - pmt key 131 1-7
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PV of an Annuity - pmt key 131 1-7

FV of and Annuity 131 1-5
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FV of and Annuity 131 1-5

FV of an Annuity - P/Y and C/Y 131 1-6
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FV of an Annuity - P/Y and C/Y 131 1-6

FV of $1and P/y 131 1-3
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FV of $1and P/y 131 1-3

PV of $1 and P/Y 131 1-4
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PV of $1 and P/Y 131 1-4