Manajemen keuangan.lecture 2 min
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Manajemen keuangan.lecture 2 min Presentation Transcript

  • 1. ManajemenKeuangan
    Ario, SST, SE Akt, MIEF
  • 2. Overview (Diujikan)
    Part 1: The Scope And Environment Of Financial Management
    Definition of financial management
    Understanding Financial Statements, Taxes, and Cash Flows
    Evaluating a Firm's Financial Performance
    Financial Forecasting, Planning, and Budgeting
    Part 2: Valuation Of Financial Assets
    The Value of Money
    Risk and Rates of Return
    Valuation and Characteristics of Bonds
    Stock Valuation
    Part 3: Investment In Long-term Assets
    Capital Budgeting Decision Criteria
    Cash Flows and Other Topics in Capital Budgeting
    Capital Budgeting and Risk Analysis
    Cost of Capital
    Managing for Shareholder Value
  • 3. Overview (TidakDiujikan)
    Part 4: Capital Structure And Dividend Policy
    Raising Capital in the Financial Markets
    Analysis and Impact of Leverage
    Planning the Firm's Financing Mix
    Dividend Policy and Internal Financing
    Part 5: Working-capital Management And Special Topics In Finance
    Working-Capital Management and Short-Term Financing
    Cash and Marketable Securities Management
    Accounts Receivable and Inventory Management
    Part 6: Special Topics In Finance
    Risk Management
    International Business Finance
    Corporate Restructuring: Combinations and Divestitures
    Term Loans and Leases
  • 4. Chapter 5
    Compound Interest And Future Value
    Compound Interest With Non-annual Periods
    Present Value
    present-value interest factor
    Dealing With Multiple, Uneven Cash Flows
    Annuities: A Level Stream
    Ordinary annuity Vs Annuity due
    Compound Annuities
    Present Value Of An Annuity
    Annuities Due
    Amortized Loans
    Perpetuities And Infinite Annuities
    Making Interest Rates Comparable
    nominal or quoted interest rate
    annual percentage yield (APY) or effective annual rate (EAR)
  • 5.
  • 6. Chapter 6
    Rates Of Return In The Financial Markets
    Opportunity cost of funds
    The Effects Of Inflation On Rates Of Return And The Fisher Effect
    real rate of interest
    The Term Structure Of Interest Rates OR Yield To Maturity
    Expected Return
    Standard Deviation
  • 7. Chapter 6 (Cont’d)
    Risk and Diversification
    Measuring Market Risk
    Beta (individual or portfolio)
  • 8. Chapter 6 (Cont’d)
    The Investor's Required Rate Of Return
    capital asset pricing model (CAPM)