Caia Level 1

Caia Level 1 Formulas

Caia Level 1 Formulas


D. Z.
This flashcard set covers advanced topics in finance, focusing on models, ratios, and portfolio management. It delves into key concepts like variance, deviation, and risk, along with asset valuation and pricing approaches. The set also explores bonds, options, and credit, incorporating the Fama-French model and binomial distributions. Ideal for finance professionals and students, it provides a comprehensive understanding of financial theories and practical applications, supported by visual aids.
Karten
98
Lernende
2
Sprache
Englisch
Kategorie
Finanzen
Stufe
Andere
Erstellt / Aktualisiert
10.02.2016 / 14.08.2022

Lernkarten

Simple interest

Geometric mean return using simple interest rates:

Geometric mean return using continuously compounded rates:

Arithmetic mean log return:

Mean of the distribution:

Variance of the distribution:

Sample mean:

Sample Variance:

Sample standard deviation:

Skewness of the distribution:

Kurtosis of the distribution:

Variance of a 2-asset portfolio:

Target semi-standard deviation:

Target semi-variance:

semi-standard deviation:

semi-variance:

tracking error:

ARCH model variance forecast:

GARCH variance forecast:

ex ante asset pricing model:

ex post asset pricing model:

Fama-French model:

Fama-French -Carhart model:

Pearson correlation coefficient:

population covariance:

sample covariance:

CAPM beta:

Durbin-Watson approximation:

IRR:

Sharpe ratio:

monthly Sharpe ratio:

Treynor ratio:

Sortino ratio:

information ratio:

return on value at risk (RoVaR):

Jensen's alpha:

expected return on land:

discounted cash flow:

Value of IP investment:

mortgage payment calculation:

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