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Daniel Wolfenzon

You will learn how to value a firm over the course of this Corporate Finance professional certificate program, giving you the skills necessary to make sound financial and investment decisions.

We will cover:

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You will learn how to value a firm over the course of this Corporate Finance professional certificate program, giving you the skills necessary to make sound financial and investment decisions.

We will cover:

Together, these concepts make up the essential building blocks for a career in finance.

In this hands-on program, you will be given the opportunity to learn through a variety of real-world transactions and case studies as well as work through exercises in constructing Excel models to help deepen your understanding of concepts.

This program is for those looking to advance their career in a range of professions, including investment banking, private equity, consulting, general management, and CFO track jobs within a corporation.

This program is based on the first-year course taught in Columbia Business School’s MBA core program.

What you'll learn

  • Understand both the sound theoretical principles of finance, and the practical environment in which financial decisions are made.
  • How to use the free cash flow method for firm evaluation.
  • Apply frameworks for valuation and discounting.
  • Value stocks and bonds.
  • Compute the return on any project.
  • Value a firm by projecting cash flows and calculating residual value.
  • How to make investment decisions for corporations.
  • Understand the effect of capital structure on the risk of the equity and debt of a firm.
  • Measure risk and estimate the expected return of an asset based on its risk.

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What's inside

Two courses

Free Cash Flow Analysis

(17 hours)
In this course, learners will apply concepts from Introduction to Corporate Finance to firm valuation. They will learn the free cash flow method and valuation using multiples. Hands-on activities will involve constructing Excel models to value firms.

Risk & Return

(14 hours)
In this course, you will learn to estimate the expected return of equity and debt, as well as the weighted average cost of capital (WACC). You will also learn to estimate the risk of financial assets and how to use this measure of risk to calculate expected returns.

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