(DVD) picks up where Finance 1 left off. Subjects include yield to maturity, bond valuation, preferred stock, differential or supernormal growth stock, constant growth stock, discount bonds, diversification, correlation coefficient, market risk, CAPM, using the SLM, coupon rate, stock valuation, the security market line, current yield, Gordon Growth Model, beta of a portfolio, constructing the SML, expected rate of return on a portfolio, and much more. Just like Finance 1, this disk is presented in a straightforward but humorous way that makes learning fun and easy. You will be impressed with this product. Total runtime is approximately 90 minutes. You don't need to know anything to get started, but you'll know a great deal by the time you're finished.