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Professor Ikram @UCnKmL-bJY3_qc40xqbo_4HQ@youtube.com

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03:30
How Your Distorted Beliefs Are Sabotaging Your Retirement Goals
10:36
Factors that Influence the Magnitude of Beta
04:14
How Social Media Buzz Distorts Stock Prices! Key Insight For Your Trading Strategy!
09:36
Estimating Beta| Procedure and Guidelines Using Apple Inc.'s Stock Returns
07:27
Estimating Market Risk Premium Using Dividend Discount Model Approach | Calculation and Guidelines
04:48
A Big Mistake that Institutional Investors Make - And How to Avoid It!
09:26
Estimating Market Risk Premium Using Historical Data - Calculation and Guidelines
05:05
Implementing CAPM: How to Estimate the Risk-Free Rate | The General Approach
04:50
Is Saving More For Retirement Making You More Indebted?
08:24
Estimating Cosf of Equity and Cost of Capital: An Example of A 100% Equity-Financed Firm
07:08
How to Estimate Cost of Equity and Cost of Debt to Estimate Cost of Capital: The General Approach
05:31
Why Do Most People Don’t Select The Cheapest Mortgage?!
08:58
Cost of Capital: An Introduction
04:49
How to Pursue College Education To Reduce Income Uncertainty
05:58
Factors to Consider When Deciding to Add a Fund to an Existing Portfolio | Sample CFA Problem
16:42
Relationship Between Unlevered Beta and Levered Beta | Part 3 of 3: With Debt AND Corporate Taxes
17:08
Relationship Between Unlevered and Levered Beta | Part 2 of 3: With Debt, No Corporate Taxes
04:45
Arithmetic Mean vs Geomeric Mean | Sample CFA Problem (Using Excel)
06:44
Risk Aversion and Investment Choice - Sample CFA Problem (Using Excel)
16:33
Relationship Between Unlevered Beta and Levered Beta | Part 1 of 3: No Debt, No Corporate Taxes
09:30
Financial Planning: What It's Really About And Why EVERYONE Needs To Do It!
10:29
Financial Advisers and Conflicts of Interest
12:23
NPV Calculations With Options to Abandon and Expand (Using Excel)
12:35
WACC Approach to Calculating Enterprise Value and Share Price (Using Excel)
08:21
Calculating Cost of Debt, Cost of Equity and WACC: A Simple Example Using Excel
11:11
Scenario Analysis in Capital Budgeting: Detailed Example Using Excel's Scenario Manager
09:34
Sensitivity Analysis in Capital Budgeting (Using Data Tables in Excel)
11:22
Capital Budgeting Using Decision Trees: Some Simple Examples (Using Excel)
08:51
Option to Wait: A Simple Numerical Example
06:03
Accounting and Financial Break-Even: A Simple Example [Using Excel]
10:05
Bitcoin ETFs are Here! Time to Invest in BTC?
08:31
Should You Actively Buy and Sell Stocks? Here’s What The Research Says
08:38
PEAD.txt: Using AI and Machine Learning to Profit from Corporate Earnings Calls
05:31
Relationship Between a Fund's Net Asset Value (NAV) and Public Offering Price
13:11
Short Selling: Details and Numerical Example (Using Excel)
06:47
Post Earnings Announcement Drift: Profiting From Corporate Earnings Announcements
10:39
Solving Some Simple Problems Using The Capital Asset Pricing Model (CAPM)
11:55
Margin Trading: Details and Numerical Example (Using Excel)
14:54
Percentage of Sales Forecasting to Determine External Funds Needed (EFN) and Internal Growth Rate [U
08:04
What is Depreciation and How Does It Influence Operating Cash Flow?
07:32
The Little Known Risk of Not Diversifying: What EVERY Investor Needs To Know!
13:50
WACC Calculation for a Private Firm (or Division): Unlevering and Relevering Beta
14:46
WACC Calculation for a Firm Undergoing a Change in Capital Structure: Unlevering and Relevering Beta
10:21
Enterprise Value: Concept and Calculation
07:42
College Advice: Setting Goals and Achieving Them in 2024
06:40
Can an increase in minimum wage reduce student debt?
05:16
Are Polluting Firms "Well-Sooted" For Your Portfolios? Maybe, Suggests New Research
03:47
The Home Ownership Dream - Turning into a Nightmare?
12:03
The Efficient Frontier with Two Risky Assets
12:44
Expected Return and Variance of Portfolio Returns with Two Risky Assets (Using Excel)
08:43
Covariance and Correlation Between Individual Stock Returns (Using Excel)
08:33
Expected Return and Variance of Individual Stock Returns (Using Excel)
09:42
Holding Period Return vs. Yield to Maturity on Bonds: An Illustrative Example (Using Excel)
09:32
Holding Period Return on a Stock: Intuition and Example (in Excel)
09:22
Mean, Variance and Standard Deviation of Stock Returns (Using Excel)
03:45
Dividend Yield, Capital Gains and Stock Returns: A Simple Example (Using Excel)
10:34
Risk, Return and Prices: Foundational Knowledge To Understand CAPM
05:57
Dividend Discount Model with Differential Growth In Dividends (Using Excel)
06:01
Stock Valuation With Non-Constant Dividends (Using Excel)
14:40
Gordan Growth Model (With Excel): Implications For Total Return, Dividend Yield and Capital Gains