Swamped with your writing assignments? Take the weight off your shoulder!
Multiple choice part (and calculations) -about 30 questions. You will have an hour to do it once you start. You will need to do it all in one sitting.
the material Ch. 2: the function of financial markets, the function of intermediaries, direct vs. indirect finance, different types of financial markets etc.
Ch. 4: calculating PV, how money grows, interest rates, rate of return, yield to maturity, bond price
Ch. 5: discuss changes in demand for various assets based on portfolio theory, demand and supply curves for bonds and how they shift based on portfolio theory
Ch. 6: risk premium: what it is. Expectations theory and liquidity premium theory. Explain and interpret the yield curve.
then one last writing question in the end 1. Write down one question you expected to get on the quiz that you didn’t get. (This is your chance to show something you learnt!)
2. Give the answer to your own question.