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JOB MARKET ADVICE FOR MY STUDENTS

University of New Orleans
Finance 1330
Economics 1203

Economics 1203 Internet
Economics 1204
Finance 2302
Finance 3300

Tulane University
Finance 254
Finance 331
Finance 354

Time Value of Money

Mutual Funds

Bond Notes

Federal Reserve

Averages & Indexes

Securities Business & Brokerage Firms

Economic Analysis, Industry Analysis, Company Analysis

Stocks

Stock Valuation

Options

Stock Market News

How to set personal and professional goals.

 

Tulane Finance 354 - Test 1 Terms

Setting of Investment Information:
    Risk & Safety of Principal
    Current Income vs Capital Appreciation
    Liquidity Considerations
    Short Term vs Long Term
    Tax Factors
    Ease of Management

Time Value of Money
Arithmetic Mean
Geometric Mean
Variance
Standard Deviation

BONDS:

Bond indenture, call provision, coupon rate, maturity date, par value, Zero-coupon bonds.

Current yield, Expectations Hypothesis, Liquidity Preference Theory, Market Segmentation Theory, Term Structure of Interest Rates.

Agency Securities:  Pass-Through, GNMA, SLMA, Securitization, Cash Flow.

Simple Weighted Average Life. Duration
 

CMO's, weighted average life, shock test.

Read the articles that were handed out in class.