Corporate Finance Strategies & Valuation Mastery
Skills:
PM Basics80%
Master corporate finance strategies to evaluate investments, manage risk, and optimize financial decisions. Learn how to apply valuation models and capital structure techniques in real-world scenarios.
This course provides a comprehensive approach to corporate finance, covering risk and return analysis, portfolio theory, and the Capital Asset Pricing Model (CAPM). You will learn how to evaluate bonds, stocks, and dividend growth models to determine intrinsic value and make informed investment decisions.
Through practical modules, the course explores cost of capital, Weighted Average Cost of Capital (WACC), and capital structure optimization to enhance shareholder value. You will also develop skills in working capital management, including cash flow forecasting, receivables, inventory optimization, and short-term financing strategies.
By the end of the course, you will be able to analyze financial risk, evaluate securities, and apply corporate finance tools to support strategic business decisions.
Ideal for finance professionals and aspiring analysts, this course bridges financial theory with real-world application to build strong decision-making capabilities in corporate finance.
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