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FIN 300 Exam 2 Study GuideUnderstandthe difference between risk and return. What type of return should you expect for a given level of risk. Compute the variance for an asset with return, probability and expected return of the asset given. This is not hard just refer to notes.Compute expected earnings if you are given different probabilities and different earnings levels.Compute holding period return with a dividend paid.Understandthe difference between a zero-coupon bond and a coupon paying bond.Compute the impact on the price of a stock when a stock dividend is paid.Understandhow repurchases, dividends and stock splits impact the control of the firm.