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im doing f9 which is my last F paper along with P1 in december 2012.. i really seem to be struggling with my f9 studies… topics such as debt equity finance , capm, wacc, im really worrying…any advise?
Have you watched the lectures on here? They might help.
yeah i viewed some.. i have a question.. what does a beta factor of 1.0 and a beta factor of less that 1.0 suggest?
If you have a profound understanding of annuity, you may probably understand them
thank you..