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Corporate Financial Management


en Mixed media product – 31 oct 2008
Corporate Financial Management is a thorough and comprehensive introduction into corporate finance. Set within a practical UK-based context, it uses a wealth of extracts from the FT to help readers appreciate how theory is used by practitioners on a daily basis.
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Specificații

ISBN-13: 9780273725220
ISBN-10: 027372522X
Dimensiuni: 197 x 268 x 45 mm
Greutate: 2.12 kg
Ediția:Nouă
Editura: Prentice-Hall
Locul publicării:Harlow, United Kingdom

Cuprins

PART ONE: INTRODUCTION
1. The Financial World


PART TWO: THE INVESTMENT DECISION
2. Project Appraisal: Net Present Value and Internal Rate of Return
3. Project Appraisal: Cash Flow and Applications
4. The Decision-making Process for Investment Appraisal
5. Project Appraisal: Capital Rationing, Taxation and Inflation


PART THREE: RISK AND RETURN
6. Risk and Project Appraisal
7. Portfolio Theory
8. The Capital Asset Pricing Model and Multi-Factor Models
PART FOUR: SOURCES OF FINANCE
9. Stock Markets
10. Raising Equity Capital
11. Long-term Debt Finance
12. Short-term and Medium-term Finance
13. Treasury and Working Capital Management
14. Stock Market Efficiency


PART FIVE: CORPORATE VALUE
15. Value Management
16. The Pervasiveness of Value Principles
17. Value Creation Metrics
18. Entire Firm Value Measurement
19. The Cost of Capital
20. Valuing Shares
21. Capital Structure
22. Dividend Policy
23. Mergers


PART SIX: MANAGING RISK
24. Derivatives
25. Managing Exchange-Rate Risk

Textul de pe ultima copertă

The distinctive choice for uncovering Corporate Finance
Go undercover and explore how finance theory works in practice with Corporate Financial Management, fourth edition.  Find out how financial decisions are made within a firm, how projects are appraised to make investment decisions, how to evaluate risk and return, where to raise finance from, and how, ultimately, to create value.
Firmly established as the market-leading European textbook in Corporate Finance. Used by over one-hundred thousand students. Consistently rated in the top 10 of Amazon’s best selling corporate Finance and MBA textbooks, this new edition of Glen Arnold’s Corporate Finanancial Management retains and builds on its key strengths of:
·         Practical orientation
·         Accessible style and comprehensive coverage
·         Extensive real–world examples from the Financial Times
Take a look below to see what’s new:
·         New sections on corporate governance, private equity, and hedge funds in chapter 1
·         Recent European stock exchange alliances in chapter 9
·         Contemporary evidence of stock market inefficiency in chapter 14 
·         New Financial Times articles in every chapter illustrate how theory is being used by practitioners on a daily basis
·         Statistics, figures, charts and tables are carefully updated to reflect the latest data, ranging from the number of corporate mergers to the default rates on corporate bonds  
This is the ideal book for both undergraduate and postgraduate students of business studies, accounting, finance and economics taking a course in Corporate Finance.
Glen Arnold is a businessman, investor and a professor of finance at Salford University
MyFinanceLab  
A brand new online learning resource for this edition available to users of this book. 
www.myfinancelab.com/arnold
An unrivalled online study and testing resource that generates a personalised study plan and provides extensive practice questions exactly where you need it.
Also available on the site:
·         Podcasts relate finance theory to topical issues recently documented in the news
·         Videos relating to each part of the book give you the opportunity to watch interviews with Managing Directors and Finance Directors of global companies to see how they run their business.
·         Audio animations guide you step by step through the key concepts in corporate finance.
See the first page of this text for information on how to register and start using the resources. 

Caracteristici

  • Practical Orientation
  • Accessible style and comprehensive coverage
  • Extensive real-world examples from the Financial Times

Caracteristici noi

Take a look below to see what’s new:
  • New sections on corporate governance, private equity, and hedge funds in chapter 1
  • Recent European stock exchange alliances in chapter 9
  • Contemporary evidence of stock market inefficiency in chapter 14 
  • NewFinancial Times articles in every chapter illustrate how theory is being used by practitioners on a daily basis.
  • Statistics, figures, charts and tables are carefully updated to reflect the latest data, ranging from the number of corporate mergers to the default rates on corporate bonds.