LEARNING OUTCOME
Introduction
2.1 Organisational Performance Using Ratios and Trends
2.2 Capital Mix and Capital Asset Structure
2.3 Distribution and Retention Policy
2.4 The Rationale for Risk Management
2.5 Different Types of Risks
2.6 Framework of Risk Management
2.7 Capital Investment Monitoring and Risk Management Systems
2.8 Behavioural Finance
2.9 Chapter 2: Summary