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Practice CFA® Level I exam preparation with this 17-minute tutorial covering questions 31-40 from Mock Exam #4B, featuring step-by-step solutions and formula reviews across key finance topics. Work through liquidity analysis including days receivables versus days payables calculations and credit limit assessments, then explore lending agreement components such as bond indentures, covenants, and collateral requirements. Master margin requirement calculations with 30% initial margin scenarios and tackle capital budgeting problems involving project NPV analysis, WACC applications, and value per share impact assessments. Examine market efficiency concepts versus mispricing scenarios, particularly identifying active opportunities in overvalued corporate bonds, and learn to measure industry profitability using ROIC time series analysis. Dive into real options valuation including timing options and inflation risk considerations, then apply the Gordon Growth Model for dividend valuation starting in year three with proper discounting to present value. Compare different bond structures including partially amortized bonds versus interest-only and fully amortizing bonds with balloon payments, and analyze various coupon structures from floating-rate notes to inverse FRNs and fixed coupon bonds.
Syllabus
Mock Exam #4B – Questions 31-40 | CFA® Level I Exam Preparation | AnalystPrep
Taught by
AnalystPrep