Financial Content Writer
Sher Mehta
Sher Mehta joined FE as a content writer in March 2021. He is a global macroeconomist and financial market economist. His experience encompasses macroeconomics, financial markets, investments, industry, and country risk-related research. He focuses predominantly on the U.K, U.S, Eurozone, Chinese economies and markets, and the financial, real estate, and retail sectors of these economies.
Sher's Blogs
Credit Process
December 21, 2022
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Role of ECM Vs. Trading Desk
November 15, 2022
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Employee Retirement Income Security Act (ERISA)
June 22, 2022
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Debt Capital Markets
June 7, 2022
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Club Deals
June 7, 2022
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Business Writing
May 25, 2022
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Financial Market Indicators
May 19, 2022
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Collateral Management
May 17, 2022
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Business Valuation Overview
May 17, 2022
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Credit Approval
May 6, 2022
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Financing Decisions
May 4, 2022
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Credit Market Structure
May 4, 2022
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Correlation and Covariance
April 29, 2022
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Credit Default Swaps
March 25, 2022
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Alternative Investments and Markets
March 18, 2022
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Discretionary Cash Flow
February 18, 2022
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Stages of the Economic Cycle
February 15, 2022
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Forecasting Balance Sheet Line Items
February 11, 2022
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Forecasting Income Statement – Line Items
February 10, 2022
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Modeling Ratios
February 9, 2022
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Forecast Cash Flows
February 9, 2022
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Puttable Bonds
January 13, 2022
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Global Economics
January 10, 2022
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Credit Risk Mitigation
January 10, 2022
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Commodities Trading
January 10, 2022
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Bear Market
January 10, 2022
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Characteristics of Alternative Investments
December 24, 2021
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Bull Market
December 24, 2021
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Equity Futures
November 9, 2021
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Loss Given Default Risk
November 4, 2021
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Financial Leverage
September 21, 2021
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Price Level Indicators
September 10, 2021
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Exchange Traded Funds
September 2, 2021
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Equity Characteristics
September 1, 2021
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Types of Consideration
September 1, 2021
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Corporate Banking
August 27, 2021
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Yield to Maturity
August 27, 2021
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Yield Curve
August 27, 2021
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Securitization
August 26, 2021
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Price Weighted Index
August 26, 2021
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Volatility
August 26, 2021
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Market Value Weighted Index
August 26, 2021
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US Government Bond Products
August 26, 2021
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Market Sectors
August 25, 2021
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Time Weighted and Dollar Weighted Returns
August 25, 2021
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Loan Syndication
August 24, 2021
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Cash Flow Adequacy
July 21, 2021
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Steady State
July 21, 2021
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Debt Schedule
July 14, 2021
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Venture Capital
July 13, 2021
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Role of Central Banks
July 9, 2021
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Types of Portfolio Risks
July 8, 2021
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Coverage Ratios
July 8, 2021
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Risk Premium
June 28, 2021
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Investment Risks
June 21, 2021
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Capital Asset Pricing Model (CAPM)
June 11, 2021
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Industry Risk
June 7, 2021
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Unlevered Beta
June 4, 2021
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Macro Risk
June 4, 2021
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Debt Service Coverage Ratio (DSCR)
June 4, 2021
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Fundamental Analysis
May 28, 2021
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Investment Environment
May 28, 2021
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Football Field
May 28, 2021
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Bond Market
May 28, 2021
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Asset Allocation
May 28, 2021
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Company Lifecycle
May 24, 2021
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Solvency Ratios
May 21, 2021
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Investment Grade
May 19, 2021
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Floatation
May 19, 2021
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S&P
May 14, 2021
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Measures of Inflation
April 29, 2021
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Stock Prices
April 27, 2021
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Stock Market Indices
April 23, 2021
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Active vs Passive Investing
April 16, 2021
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Hedge Funds
March 17, 2021
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Dividend Paid
March 17, 2021
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Blue Chip
March 17, 2021
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