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This Specialization introduces students to the fundamentals of financial management, including financial markets, financial statements, risk and return, capital budgeting, and securities valuation. Students will develop the skills to evaluate firm performance, apply time value of money tools, assess capital structure and dividend policy, and make informed financial decisions in domestic and international business contexts.
Syllabus
- Course 1: Foundations of Financial Management
- Course 2: Financial Markets, Interest Rates, and Financial Statements
- Course 3: Financial Performance & Short-Term Planning
- Course 4: Risk and Return Relationships
- Course 5: Stocks, Bonds, and the Cost of Capital
- Course 6: Capital Budgeting Practices
- Course 7: Working Capital and Inventory Management
- Course 8: Dividends and International Finance
Courses
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Master the capital budgeting practices crucial for making sound financial decisions. This course will teach you how to identify and rank profitable projects, calculate their free cash flows, and evaluate investment risk using tools like break-even analysis. You will also explore capital structure theory to make strategic financing decisions for your company. By the end of this course, you will be equipped with the essential tools to evaluate complex investment opportunities and manage your firm's capital structure effectively.
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Learn how corporations create shareholder value through strategic dividend policies and navigate the complexities of international finance. This course examines key profit distribution strategies, like stock splits and repurchases, alongside crucial global topics such as foreign exchange markets and capital budgeting for direct foreign investment. By the end of this course, you will be able to evaluate a firm's dividend policy and make informed recommendations on its international financial strategy.
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Learn how companies raise capital and assess their financial health by interpreting key financial documents. This course delves into the movement of funds through the economy and the core principles of interest rate determination, providing a framework crucial for aspiring executives in finance, marketing, or strategy. By the end of this course, you will be able to analyze how funds flow through financial markets and use financial statements to make informed management and investment decisions.
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Learn to evaluate a firm's financial health and forecast its future performance by mastering key analytical tools. This course explores the use and limitations of financial ratio analysis and teaches you how to construct cash budgets and utilize forecasting techniques for effective planning. By the end of this course, you will be able to diagnose a company’s current financial standing and apply key techniques for financial forecasting and planning.
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Learn the fundamental principles that drive all financial decisions and understand the crucial role finance plays in any business, from startups to multinational corporations. This course explores the primary goal of the firm, different legal business structures, and the evolving challenges of managing finance in a global context. By the end of this course, you will be able to apply the five core principles of finance to evaluate business decisions and understand how companies are structured for financial success.
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Master the core financial principle of the time value of money to make smarter investment decisions. This course covers everything from compounding and present value calculations to annuities, teaching you how to measure an investment's expected rate of return and riskiness. You will also learn how diversification can reduce risk by exploring historical risk-return relationships. By the end of this course, you will be able to apply these fundamental concepts to evaluate the financial viability of any investment opportunity.
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Learn how to value a company's most important financial assets - stocks and bonds - and calculate its overall cost of capital. This course covers the key factors influencing their prices, the process for valuing different corporate securities, and the essential concepts for determining a firm’s weighted average cost of capital. By the end of this course, you will be able to apply these valuation techniques to assess bonds and stocks and make sound financial judgments.
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Learn how to manage a firm’s current assets and liabilities to maintain financial stability and optimize day-to-day financial operations. This course explores the critical risk-return trade-off in working capital management, from determining the right level of working capital to using the cash conversion cycle and evaluating sources of short-term credit. By the end of this course, you will be able to apply proven techniques to effectively manage cash, accounts receivable, and inventory, ensuring your firm maintains liquidity and operational efficiency.
Taught by
Pearson