Description

This is the complete set of notes I've made and compiled specifically for the exam last year. Hence, it contains all the relevant information needed to be reviewed either before or after lectures and also for the exam. The contents of this file include: Week 1 & 2 – Introduction to Financial Mathematics Week 3 & 4 – Applications in Financial Mathematics Week 5 & 6 – Modern Portfolio Theory and Asset Pricing Week 8 & 9 – Capital Budgeting Week 10 & 11 – Capital Structure and Payout Policy Week 12 - Options  I've summarised and re-written most of the contents for all the 11 weeks of lectures to make it more comprehensible. I've also included helpful information that I've received during tutorials and lectures that are not from any of the lecture slides. This note is also formatted in a way that is easy on the eyes (hint: it's not just a wall of text) with bullet points, coloured text, bold text, and pictures. While this file should cover most, if not all, of the theory part of the subject, please do still go over examples (such as the practices on lectures), tutorials, assignments, and sample exams to help in your studies. This note should just be considered as a revision or a reminder of the most important parts of the subject. Well, best of luck with your studies! Hope you all get H1s with the help of my notes :)


UniMelb

Semester 1, 2017


37 pages

5,403 words

$29.00

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