Global Certificate in Capital Structure & International Finance
-- ViewingNowThe Global Certificate in Capital Structure & International Finance is a comprehensive course designed to empower learners with the essential skills needed to thrive in today's global financial marketplace. This course focuses on the critical concepts of capital structure, international finance, and investment analysis, providing learners with a solid foundation in these areas.
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⢠Understanding Capital Structure: This unit will cover the basics of capital structure, including the different types of capital (debt, equity, and preferred stock) and how they are used to finance a business.
⢠The Capital Structure Decision: This unit will delve into the process of making capital structure decisions, including the pros and cons of different financing options and the factors that influence these decisions.
⢠International Finance and Capital Markets: This unit will explore the role of international finance and capital markets in capital structure decisions, including the risks and rewards of investing in foreign markets.
⢠The Cost of Capital: This unit will cover the cost of capital, including the calculation of the weighted average cost of capital (WACC) and how it is used to make capital structure decisions.
⢠Capital Structure and Firm Value: This unit will examine the relationship between capital structure and firm value, including the trade-off theory and the pecking order theory.
⢠International Financial Management: This unit will cover the basics of international financial management, including foreign exchange risk management and international investment strategies.
⢠Global Capital Markets and Institutions: This unit will explore the major players in global capital markets, including investment banks, hedge funds, and sovereign wealth funds.
⢠Corporate Restructuring and Workouts: This unit will cover the process of corporate restructuring, including workouts, bankruptcy, and reorganization.
⢠Risk Management in Capital Structure Decisions: This unit will examine the role of risk management in capital structure decisions, including the use of derivatives and other hedging strategies.
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