Every lab follows the same structure: Concept → Formula → Live Calculator → Worked Example → Real-World Application → Common Mistakes → Practice → Quiz. Built for the full MBA Corporate Finance and Financial Derivatives sequences, Indian market cases throughout.
FV, PV, annuities, perpetuities, APR vs EAR, loan amortisation, retirement planning.
LAB 02NPV, IRR & MIRR, payback, profitability index, capital rationing.
LAB 03Bond pricing, YTM, duration & convexity, DDM, FCFF/FCFE, relative valuation.
LAB 04Diversification, beta, the SML, CML vs SML, Sharpe & Treynor, Hamada's equation.
LAB 05Cost of debt & preference, CAPM/DDM for equity, full WACC, MCC & break points.
LAB 06NI/NOI/Traditional views, MM propositions, trade-off theory, DOL/DFL/DTL, pecking order.
LAB 07Amortisation, NCD tranche pricing, covenants, ECB & hedging, credit ratings, restructuring.
LAB 08The dilution journey, IPO mechanics, rights issues & TERP, ESOP/Black-Scholes, VC/PE term sheets.
LAB 09MM irrelevance, Walter/Gordon/residual policy, buybacks, signalling, the Lintner model.
LAB 10Cash conversion cycle, EOQ & safety stock, receivables, Baumol model, MPBF.
LAB 11Pro forma statements, AFN & sustainable growth, regression, Monte Carlo, DSCR.
Cost of carry, basis & marking to market, hedging, SPAN margin, India market segments.
DERIV 02Greeks, pricing, every major strategy including credit spreads and short volatility.
DERIV 03IRS, currency swaps, CDS, equity/commodity swaps, and a live mark-to-market simulator.
DERIV 04Build, combine, and realize any futures/options payoff — 20 named strategies plus free-form legs.
DERIV 05Live replication hedging round by round, with a Monte Carlo variance-reduction comparison.
DERIV 06Watch an option price build node by node, and converge to Black-Scholes as steps increase.
DERIV 07Value the option to expand, delay, or abandon a project — corporate finance meets derivatives.
DERIV 08Choose a boardroom role, identify the exposure before reaching for an instrument, live through a market shock and a margin call, and get a full decision-quality debrief — not a P&L score.
DERIV 09Study four real short squeezes — Volkswagen-Porsche, GameStop, and two Indian cases — then choose a role and live through five rounds of a squeeze yourself, with a decision-quality debrief comparing your calls to the ideal response.
The Ask & Runway, Valuation & Dilution, Cap Table Evolution, Unit Economics, Financial Projections, and a live Investor Hot Seat.
ENT 02The VC Method, Multiples-Based Valuation, DCF, Scenario Planning, and a live sandbox to plug in any real company's numbers.
ENT 03Working capital, term loans (collateral-backed and collateral-free via CGTMSE/MUDRA/Stand-Up India), and growth equity for real MSMEs — nine concept modules plus a live roleplay against a Growth & Credit Committee.
Vesting & Cliff, Strike Price & Intrinsic Value, Perquisite & Capital Gains Tax, Pool & Dilution, Pool Sizing, and a live Employee Q&A Hot Seat.
GEN 01Upload or use the GreenBite SME dataset, investigate why revenue growth isn't converting to cash, challenge an AI-style analyst's conclusions with real evidence, and design an AI-assisted workflow that keeps human judgement in control.