FINANCIAL MANAGEMENT - WORKING CAPITAL (CASH MANAGEMENT METHODS - MILLER ORR CASH MANAGEMENT MODEL.)
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- Опубликовано: 13 сен 2024
- The Miller-Orr model helps the company to meet its cash requirements at the lowest possible cost by placing upper and lower limits on cash balances.
Kindly download the model paper using the link below bit.ly/3BmMkIG
Download the model paper(Block revision for August exams) using the link below bit.ly/3BmMkIG
This link is not downloading...why??
@@lovydovy00 the link is okay , it's click and go
What if you're not provided with the number of days,how will you compute
After calculating inside the bracket=2.92^17, what sign do you press before 3 shift
Where is the baumol model video please
This is available on our platform app.mdarasa.co.ke . You will access all the classes for Financial Management.
When u were calculating the spread...y did u maintain the 1/3 even after getting the answer as 1
Will it come? Chances?
This formula is new... I'm used to; spread=H-L
Hey Ivy, 😊😊 it's not new it has been their, it's only that may be you've never come across it. Good thing is that at least now you know.
Why and how did you cancel that 3 while calculating Spread
3 was cancelled 0n the calculation of return point
Like take for example this case 1/3* 3 is ? That should be 1 right?