This course, built on Economic and Financial Analysis I, provides a conceptual framework whereby accounting, corporate finance, and investment decisions can be viewed and understood in a unified context of risk and return as it is applicable to all types of businesses and organizations. The course prepares students for future specialized courses in advanced accounting, corporate finance, financial institutions and markets, investment theory, and entrepreneurial finance. The contemporary issues covered in this course include risk and diversification; asset pricing models; capital structure and financing alternatives; dividend and stock repurchases; corporate governance; mergers, acquisitions, and takeovers; financial distress and reorganization; and different international financial topics.
Spring | Summer | Fall | ||
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(Session 1) | (Session 2) | |||
2023 | ||||
2022 | ||||
2021 | ||||
2020 | ||||
2019 | ||||
2018 |
Financial Management II (3c)
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2017 |
Financial Management II (3c)
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2016 |
Financial Management II (3c)
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2015 |
Financial Management II (3c)
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2014 |
Financial Management II (3c)
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2013 |
Financial Management II (3c)
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2012 |
Financial Management II (3c)
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2011 |
Financial Management II (3c)
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2010 |
Financial Management II (3c)
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2009 |
Financial Management II (3c)
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Finance Managment II (3c)
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2008 |
Financial Management II (3c)
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2007 |